Analyst/Assistant Vice President, Credit Risk Management

1 week ago


Singapore Office Marina One MUFG Full time $70,000 - $120,000 per year

Do you want your voice heard and your actions to count?

Discover your opportunity with Mitsubishi UFJ Financial Group (MUFG), one of the world's leading financial groups. Across the globe, we're 150,000 colleagues, striving to make a difference for every client, organization, and community we serve. We stand for our values, building long-term relationships, serving society, and fostering shared and sustainable growth for a better world.

With a vision to be the world's most trusted financial group, it's part of our culture to put people first, listen to new and diverse ideas and collaborate toward greater innovation, speed and agility. This means investing in talent, technologies, and tools that empower you to own your career.

Join MUFG, where being inspired is expected and making a meaningful impact is rewarded.

Job Overview:

We are seeking a motivated and analytical risk professional to join APAC Region's Credit Risk Management Department. This role's primary responsibilities include Concentration RiskManagement (with a focus on economic capital), Climate Change Risk Management initiatives, and provide support in Marketable Credit Risk assessments and monitoring. The successful candidate will be responsible for running business-as-usual (BAU) processes, driving enhancements, and actively contributing to projects and strategic initiatives. Candidates with experience in modelling, portfolio analysis, and scenario/stress testing will be highly regarded.

This is a unique opportunity to gain exposure to broad spectrum of risk domains, while supporting the development/enhancements of frameworks, tools, and risk insights that inform management decisions.

Key Responsibilities:
Concentration Risk Management

  • Lead the enhancement of global/regional concentration risk management framework collaborating with stakeholders such as Head Office Tokyo, Credit Divisions and Business Units.

  • Run and enhance Business-as-Usual (BAU) processes for concentration risk monitoring and reporting, mainly focusing on Economic Capital.

  • Conduct simulation of financial metrics for high-risk sectors/borrowers.

Climate Change Risk Management

  • Implement and enhance ESG/climate change risk management initiatives (including frameworks, methodologies and metrics).

  • Conduct climate risk scenario analysis (physical and transition risks), collaborate with APAC branches on local regulatory requirements, improve tools and processes, and maintain documentation.

  • Facilitate regular calls for APAC's Climate Change Risk Management.

Marketable Credit Risk

  • Conduct Marketable/Tradeable Credit Risk assessment, including key risks identification, review and challenge along with providing risk commentaries.

  • Conduct ongoing monitoring and periodic reports, including deal status reports, Early Warning triggers monitoring, market news and potential risk concerns.

Cross-functional Responsibilities

  • Participate in global/regional projects, initiatives and working groups.

  • Identify opportunities to enhance data, analytics and risk management practices.

  • Prepare supporting materials for risk committees, senior management or stakeholders.

  • Explore utilization of AI-based tools/systems to enhance work processes' efficiencies and effectiveness.

Job Requirements:

  • Bachelor's degree in Banking, Finance, Economics, Risk Management, Data Analytics,Statistics or a related field.

  • Minimum of 3 (for AVP) / 2 (for Analyst) years of relevant experience in risk management, portfolio analytics, or financial services (experience in economic capital, stress testing, or climate change risk preferred).

  • Strong analytical and quantitative skills; familiarity with modelling and scenario analysis techniques are advantageous.

  • Proficiency in Microsoft Excel and data handling; knowledge of statistical/analytical tools (Excel VBA, SQL, Python, R etc.) is advantageous.

  • Familiarity with climate-related risk frameworks (e.g., NFGS, TCFD) is a plus.

  • Good conceptual understanding of banking industry's products and services, regulations or credit risk management.

  • Strong communication and stakeholder management skills with ability to present risk insights clearly.

  • Detail-oriented, proactive, and able to balance BAU deliverables with project work.

We regret to inform that only shortlisted applicants will be notified.

Mitsubishi UFJ Financial Group (MUFG) is an equal opportunity employer. We view our employees as our key assets as they are fundamental to our long-term growth and success. MUFG is committed to hiring based on merit and organsational fit, regardless of race, religion or gender.



  • Singapore Sumitomo Mitsui Financial Group Inc. Full time

    Vice President Credit Analyst, Global Financial Institutions Group Join to apply for the Vice President Credit Analyst, Global Financial Institutions Group role at SMBC Group . Overview Join to apply for the Vice President Credit Analyst, Global Financial Institutions Group role at SMBC Group . Responsibilities Prepare credit applications (new and renewal)...


  • Singapore Sumitomo Mitsui Financial Group Inc. Full time

    Vice President Credit Analyst, Global Financial Institutions Group Join to apply for the Vice President Credit Analyst, Global Financial Institutions Group role at SMBC Group . Overview Join to apply for the Vice President Credit Analyst, Global Financial Institutions Group role at SMBC Group . Responsibilities Prepare credit applications (new and renewal)...


  • Singapore Century Games Full time

    1 day ago Be among the first 25 applicants Job Summary Century Games is seeking a Vice President of Risk and Compliance to lead the implementation and oversight of comprehensive risk management and compliance strategies. Location: Singapore Company: Century Games Pte. Ltd. Job Summary Century Games is seeking a Vice President of Risk and Compliance to lead...


  • Singapore MUFG Full time

    Assistant Vice President, Third Party Risk Management Join to apply for the Assistant Vice President, Third Party Risk Management role at MUFG Assistant Vice President, Third Party Risk Management 3 days ago Be among the first 25 applicants Join to apply for the Assistant Vice President, Third Party Risk Management role at MUFG We are looking for an...


  • Singapore MUFG Full time

    Assistant Vice President, Third Party Risk ManagementJoin to apply for the Assistant Vice President, Third Party Risk Management role at MUFGAssistant Vice President, Third Party Risk Management3 days ago Be among the first 25 applicantsJoin to apply for the Assistant Vice President, Third Party Risk Management role at MUFGWe are looking for an experienced...


  • Singapore SMBC Group Full time

    Overview Join to apply for the Vice President Credit Analyst, Global Financial Institutions Group role at SMBC Group . Responsibilities Prepare credit applications (new and renewal) with detailed analysis of key risks, deal structures, terms & conditions and deal rational. Ensure timely review of credit limits & counterparty rating in line with


  • Singapore MUFG Full time

    Associate/Vice President - Risk and Compliance, Global Markets Division Join or sign in to find your next job Join to apply for the Associate/Vice President - Risk and Compliance, Global Markets Division role at MUFG Associate/Vice President - Risk and Compliance, Global Markets Division Join to apply for the Associate/Vice President - Risk and...


  • Singapore SMBC Group Full time

    Overview Join to apply for the Vice President Credit Analyst, Global Financial Institutions Group role at SMBC Group . Responsibilities Prepare credit applications (new and renewal) with detailed analysis of key risks, deal structures, terms & conditions and deal rational. Ensure timely review of credit limits & counterparty rating in line with


  • Singapore MUFG Full time

    Overview Assistant Vice President, Credit Management - Fund Finance at MUFG. This role is responsible for a portfolio of


  • Singapore Barclays Full time

    As an Assistant Vice President, Quantitative Analyst BI Retail Credit Risk Modeler at Barclays Services Corp., you will be responsible for developing