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Credit Risk/ Portfolio Management (Corporate Banking)

4-6 Years
SGD 6,000 - 8,000 per month
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  • Posted 20 days ago
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Job Description

about the company

A leading international financial institution with a strong presence in the APAC market is expanding its risk and portfolio management functions. The organization is recognized for its commitment to high-standard credit governance and its active involvement in complex structured finance and corporate deals across the region.

about the job

As a critical member of the credit risk team, you will deliver independent assessments for new and existing corporate and structured finance transactions.

  • Conduct high-impact evaluations of new deal structures to ensure alignment with organizational risk appetite.
  • Collaborate with business units to review waiver requests and provide clear approval recommendations.
  • Participate in credit committee discussions to offer objective insights on portfolio exposures.
  • Monitor credit quality and internal risk ratings for a diverse portfolio of corporate borrowers.
  • Analyze sectoral trends and macro risk factors to identify early warning indicators and emerging risks.

skills and experience

  • Degree holder in Accounting, Business, Banking & Finance and Economics
  • Minimum 4 years of experience in corporate banking credit analysis/ credit review/ credit risk/ portfolio management
  • Knowledge in structured finance/ project finance/ syndicated loans
  • Well-versed in financial assessment, cash flow analysis, and stress testing.

To apply online please use the apply function, alternatively you may contact Judy Low at judy.low[@]randstad.com.sg

(EA: 94C3609/ R22110790)

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Job ID: 143281729