Manager, Credit Data Governance and Reporting

1 week ago


Singapore MAYBANK SINGAPORE LIMITED Full time

The Portfolio Risk Management function is one of the eight functions within the Singapore Risk Management organization. Its main role is to produce insights into the credit portfolio of the country, by way of portfolio analyses, deep dives and stress testing, thereby supporting a proactive portfolio management stance in line with risk appetite.

The Manager, Credit Risk Governance and Reporting Automation, will report to the Head, Portfolio Risk Management. The individual is the safe keeper of risk data and reporting automation and consistency framework for Maybank Singapore Credit Risk Data. The person would benefit from a hands-on approach in data management leading the Data Governance Forum and helping in progressing the key deliveries of Credit Risk data governance including, but not limited to:

- Credit Risk Data Glossary and Credit Risk data standardization
- Credit Risk Data lineage and reporting
- Credit Risk Data quality assurance (quality check and resolution of data quality problems)

In addition to the data governance, the individual will also be responsible to support the delivery of Credit Risk report automation across all units providing Credit Risk data (includes Finance, Business (Risk), Risk (Credit Risk, Policies and Models, Portfolio Risk).

A confident personality with strong credentials in this area coupled with solid written and verbal communication skills will be essential to manage the wide range of stakeholders, including business partners, senior management and regulators (BCBS239).


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