Manager, Management Information and Forecast

2 weeks ago


Kuala Lumpur, Malaysia Standard Chartered Full time

**Job**: Governance, Risk Management & Compliance

**Primary Location**: Asia-Malaysia-Kuala Lumpur

**Schedule**: Full-time

**Employee Status**: Permanent

**Posting Date**: 19/Apr/2024, 2:59:58 AM

**Unposting Date**: Ongoing

**Role Responsibilities**

**Job Summary**
- To deliver internal & external reporting, conduct risk analytics to improve portfolio risk appetite, monitor scorecard, models and support Group on model development.
- To provide quality analytical and MIS support to senior management for informed decision making.
- Ensure compliance to Basel II standards, while optimizing capital consumption and maximizing ROTE
- Management of all stakeholders, including developing relationships with business partners, regulators, group teams, and balancing the role with stakeholder expectations.
- To deliver daily/weekly/monthly report as per required by BAU operation and Group Reporting.
- To automate daily report, fully utilized the available resources and reduce the manual task for BAU report
- To priorities BAU report to identify which report is in top priority on daily basis and eliminate un-necessary reports.
- Management of all stakeholders, including developing relationships with business partners, regulators, group teams, and balancing the role with stakeholder expectations.
- Help improve and train analytics resources on QlikView / SAS programming skills.

**Responsibilities**
- Focus on MIS management and analytics to support and for pre-emptive portfolio management. Ensure robust MIS data quality. Ensure integrity of statistics and MIS.
- Support senior management review of portfolio performance and provide additional data/analysis as requested.
- Make use of existing analytical tools (SAS, Qlikview) and explore usage of new tools for enhancing analytical throughput.
- To manage, review and control statistical data for collections, CI, policies and group.
- Perform periodic Stress testing, ICAAP and Risk appetite exercises and support to maintain the portfolio risk appetite within acceptable norms.
- To integrate BASEL matrices & optimization of capital in credit decision making process.
- Ensure accurate computation of BASEL parameters and enhance usage of BASEL matrices in portfolio monitoring.
- To monitor Credit Scorecards and support Group Risk Measurement Assurance in monitoring and development of Scoring and BASEL models.
- To constantly review adequacy of currently available dataset and to recommend for enhancement if required.
- To assist in ensuring that all strategy tracking is in place.
- To provide analytics support to trouble shoot / identify area with significant credit risk.
- To support development of new MIS dataset. To provide training on implementation of new MIS automation or SAS/Python related training.
- Other duties as assigned by immediate supervisor.

**Regulatory & Business Conduct**
- Display exemplary conduct and live by the Group’s Values and Code of Conduct.
- Take personal responsibility for embedding the highest standards of ethics, including regulatory and business conduct, across Standard Chartered Bank. This includes understanding and ensuring compliance with, in letter and spirit, all applicable laws, regulations, guidelines and the Group Code of Conduct.

**Key Stakeholders**
- Internal Relationships: _
- CPBB Risk
- RRS and SCMAC
- Group and Regional P & G
- Country Regulatory reporting
- Country Finance
- External Relationships: _
- Regulators (BNM / PRA)
- External auditors (EY)

**Other Responsibilities**
- Embed ‘Here for Good’ and the Group’s brand and values in Country and Region.
- Perform other responsibilities assigned under Group, Region, Country Business or Functional policies and procedures.
- Graduate/Post Graduate ,
- Knowledge of SAS/ Python/ SQL
- Experience in Risk/ Business Analytics/Reporting

**Role Specific Competencies**
- Market Knowledge: Substantial experience at the highest level in the banking industry, including demonstrated success in a similar role
- Risk Analytic: Strong working knowledge and understanding of risk analytics including scorecards, Basel, stress testing and scenario planning.
- Risk Management and Control: Demonstrated track record in successful management and ability to manage risk in geographically dispersed and highly varied product base. Expertise in process design and control
- Regulatory framework and requirement: awareness and understanding of the regulatory framework in which the firm operates and the regulatory requirements and expectations relevant to the role.
- Ability to prioritise multiple deliverables with demonstrable organizational, project management and time management skills.
- Well versed with various principle and other risk types, its implication of individual and business lending and for overall function.
- Reasonable understanding on accounting principles of IFRS9, especially related to ECL

**About Standard Chartered**

We're an international bank, nimble enough to act, big



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