Analyst, Lending Portfolio Management

3 hours ago


Singapore ING Full time

ING Wholesale Banking in Singapore

We began operating in Singapore in 1987 where we host the regional Asia Pacific headquarters. With over 300 financial experts, we are the largest wholesale banking branch in Asia. ING stands out in the Asia Pacific region because we go a step further for our customers. We look at things from the client’s perspective which allows us to construct tailor-made solutions to fit the needs of every company we serve. This mentality underpins all our client relations and has produced various prestigious awards.

Job Profile Summary

We have a great opportunity to join our Portfolio Management (“PM”) team as an Analyst, a new function within ING Lending franchise in Singapore. This is an entry-level lending professional role within the front office. As a key member of the PM team, your responsibility will be to actively manage the lending portfolio in Asia Pacific and optimize returns through strong analytics and capital velocity. On the team, you will be exposed to and work with different colleagues from several sector-based origination team, specialized and corporate lending Transaction Management, Capital Markets & Advisory (particularly Loan Distributions), Risk and Legal whilst aligning with back office / support teams. At the same time, the PM team plays a key role in further optimizing our processes for regulatory readiness, operational effectiveness and portfolio optimization.

Job Responsibilities:

- The PM team is the ‘center of excellence’ for the in-life management of ING’s lending exposure. It covers all activities post the initial funding to the final repayment of a lending transaction. As a front office department, it will closely collaborate with sector-based origination & structuring and corporate and specialized lending transaction management colleagues and other product specialists to ensure a seamless client experience. The PM function is organized along product and sector considerations. Each portfolio manager will cover a set of portfolio clients and act as the first point of contact for the ongoing credit monitoring, analytics, internal risk and other reporting. PM supports the identification of cross-buy opportunities and is also closely involved in the delivery of ING’s capital velocity targets. The team will be supported by Global Lending Support in Dublin and the ING hub in the Philippines. Together with Tribe Lending and the Capital and Liquidity Expertise Centre, it will be a key driver of improving processes, standardization, and digitalization across Lending.
- Periodic single transaction or portfolio credit reviews;
- Processing of amendment and waiver requests, preparation and submission to Risk of credit modifications, Q&A and approval processes with Risk, follow-up on the required legal amendments to the documentation until execution;
- Review of annual risk rating updates prepared by ING hubs’ administrative support teams;
- Diligent and proactive credit monitoring through the review of all financial covenants and operating performance (e.g. financial models, proforma adjustments, key drivers, etc.) and track compliance of covenants prepared by an administrative support team;
- Identification and resolution of Early Warning Signals for a deterioration in credit quality;
- Involvement with capital velocity initiatives associated with the underlying loans including primary and secondary loan (or loan portfolio) sales, credit risk insurance or participations, loan-backed securitization and significant risk transfers.
- In addition, you will monitor and identify market developments and proactively manage their potential impact on your portfolio by:

- Preparing and maintaining reports as requested by regulators or internal stakeholders;
- Preparing quarterly Credit Risk Management (“CRM”) portfolio reviews;
- Maintaining various department and industry/sector databases/trackers;
- Maintaining internal portfolio tracking metrics;
- Responding to ad hoc internal requests on portfolio composition and exposure;
- Coordinating and working with offshore portfolio support teams;
- Managing lending limits and capital velocity programs.
- Interfacing with relationship managers and sector coverage specialists to ensure an active dialogue on credit trends, challenges and opportunities for individual clients;
- Contributing to idea generation for value added cross-buy or client opportunities.
- Staying up to date on organizational operating policies and procedures (i.e. Risk, Legal, etc.) to ensure appropriate protocols are implemented and followed, and facilitating accordingly;
- Contributing to the implementation of strategic initiatives, including enhancements to the credit monitoring process to improve business efficiency;
- Identifying productivity trends across the Front Office organization and using insights from reporting to create and drive efficient processes and improve productivity;
- Supporting the implementation of transformati



  • Singapore ING Bank N.V. Full time

    About the position We have a great opportunity to join our Portfolio Management (“PM”) team as Vice President (“VP”), a new function within ING Lending franchise in Singapore. This is a mid-level lending professional role within the front office. As a key member of the PM team, your responsibility will be to actively manage the lending portfolio in...


  • Singapore HSBC Full time

    **Some careers have more impact than others.** If you’re looking for a career where you can make a real impression, join HSBC and discover how valued you’ll be. Whether you want a career that could take you to the top, or simply take you in an exciting new direction, HSBC offers opportunities, support and rewards that will take you further. Commercial...


  • Singapore Citi Full time

    **Job Description Summary** The Credit Portfolio Risk Analyst role is within the Singapore Consumer Risk Management Team. The role supports the Investment secured portfolio for GCB and IPB businesses. Singapore Investment lending portfolio is the largest among all countries with consumer MSBF (margin lending) and IPF (Insurance Premium Finance) products. The...

  • Portfolio Analyst

    6 days ago


    Singapore Ascend Asia Asset Management Full time

    ARE YOU SEEKING PERSONAL GROWTH AND CAREER DEVELOPMENT OPPORTUNITIES?We are seeking a motivated and detail-oriented Portfolio Analyst with strong quantitative skills to support our investment team in portfolio construction, performance attribution, and financial model development. The ideal candidate will possess a strong foundation in finance and data...

  • Macro Analyst

    2 weeks ago


    Singapore BALYASNY ASSET MANAGEMENT (SINGAPORE) PTE. LTD. Full time

    The Macro Analyst / Associate Portfolio Manager will report to a Macro Portfolio Manager as part of a team investing across EM Rates/FX and Rates/FX Options. ROLE OVERVIEW: Responsibilities include, but are not limited to: - Analyst/Associate Portfolio Manager working alongside Portfolio Manager whose strategy focuses primarily on investing across EM...


  • Singapore FDF ASSET MANAGEMENT PTE. LTD. Full time

    **Role Summary** We strive to enhance the investment process with quantitative capabilities at each step of the portfolio management lifecycle. Portfolio monitoring analytics and reporting is of utmost importance to portfolio management. Portfolio data analyst serves a key role in development of portfolio monitoring and risk analytical tools. Ensuring data...

  • Credit Risk Analyst

    1 week ago


    Singapore Citi Full time

    Join to apply for the Credit Risk Analyst - Unsecured Lending role at Citi Join to apply for the Credit Risk Analyst - Unsecured Lending role at Citi Get AI-powered advice on this job and more exclusive features. At Citi, we get to connect millions of people across hundreds of cities and countries every day. And we've been doing it for more than 200 years....

  • Lending

    1 week ago


    Singapore Nomura Asia Full time

    **Job Title**:Lending & Credit Solutions **Corporate Title**:Vice President **Division**:International Wealth Management **Location**:Singapore **Nomura Overview** **Function Overview**: Member of the LCS team working closely with Relationship Managers (RMs), Investment Product & Advisory Solutions (IPAS) team and Control functions to originate,...


  • Singapore Keppel (Fund Management & Investment) Full time

    Join to apply for the Associate, Portfolio Management role at Keppel (Fund Management & Investment)Join to apply for the Associate, Portfolio Management role at Keppel (Fund Management & Investment)Get AI-powered advice on this job and more exclusive features. Assist in developing, and implementing the Trust strategies and guidelines to meet the Trust...

  • Portfolio Analyst

    2 weeks ago


    Singapore CapitaLand Full time

    Portfolio Analyst / Senior Portfolio Analyst page is loaded## Portfolio Analyst / Senior Portfolio Analystlocations: Singapore, Central Singaporetime type: Full timeposted on: Posted Todayjob requisition id: JR Headquartered and listed in Singapore in 2021, CapitaLand Investment Limited (CLI) is a leading global real asset manager with a strong Asia...