Job Description
- Deliver independent, highimpact assessments of new deals to ensure alignment with risk appetite and business objectives.
- Work closely and proactively with Front Office teams to ensure optimal outcomes for new and existing structured finance and corporate finance deals
- Evaluate waiver and exception requests and providing clear recommendations for the approval process.
- Participate actively in Credit Committee discussions on new deals and contribute independent insights.
- Perform independent reviews of credit exposures and ensure timely submission for a portfolio of structured finance and corporate borrowers.
- Ensure proper credit governance and monitor credit quality, internal risk ratings, covenant structures, and key risk mitigants identify emerging risks and early warning indicators
- Analyse portfolio concentrations, sectoral trends, and macro risk factors
- Support stress testing exercises, portfolio reporting, and management information for senior management and regulatory stakeholders (e.g. MAS, internal audit).
- Perform third party checks for loan disbursements.
- Prepare credit portfolio risk related reports including watchlist summaries for senior management and relevant committees.
Requirements
- Minimum 5 years of experience, preferably in banking, credit approval, credit analysis, credit portfolio management and/or relationship management with good understanding of project finance and structured finance credit structures
- Solid financial analysis, cash flow assessment and stress testing skills.
- Proven ability to assess credit quality and portfolio risk independently while working closely with multiple stakeholders.
- Excellent communication skills, coupled with proven experience engaging senior management and facilitating committeelevel discussions.
We regret that only shortlisted candidates will be notified.