Wholesale-credit-risk-modelling
4 days ago
**Responsibilities**:
- Dynamic working environment
- Attractive remuneration
- Excellent working culture
Excellent opportunity for an experienced credit risk professional to join a high-performing and evolving Risk Portfolio Management ('RPM') function. RPM comprises of a broad range of functions primarily focused on credit portfolio management across banking subsidiaries.**Main Responsibilities**
- Developing, implementing and managing the credit risk measurement framework encompassing credit risk scorecards and rating models, risk weighted assets determination, risk measurement data and systems infrastructure, policy and processes, expert guidance to users on usage and interpretation.
- Assessing the risk and opportunities in the Bank's key markets and asset classes in the context of the Bank's risk appetite and against economic, structural and cyclical conditions.
- Managing suite of portfolio dashboards and reports to the Board, senior management, functional risk committees and supervisory authorities.
**Requirements**:
- At least 3-5 years of corporate credit risk analytics / management.
- Direct involvement in development or validation of credit risk models will be an advantage.
- Good understanding of Basel and IFRS regulations.
- Strong computational skills, preferably in SAS, SQL, Python etc.
**How To Apply**- JTK Number:
- **JTKSM 995** | Company Registration Number:
- **88 (1048918-T)**Benefits
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Greater Kuala Lumpur, Malaysia OCBC Full timeWho We AreAs Singapore's longest established bank, we have been dedicated to enabling individuals and businesses to achieve their aspirations since 1932. How? By taking the time to truly understand people. From there, we provide support, services, solutions, and career paths that meet their individual needs and desires.Today, we're on a journey of...
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