Manager, Portfolio Analytics

8 hours ago


Kuala Lumpur, Malaysia Affin Bank Full time

Manager, Portfolio Analytics

**Create your future with Affin You too can make a difference.**

Join us at AFFIN, where the open minds meet and be inspired by a shared commitment to great work. Here, you don't just stay at the forefront of the industry - you can make a difference too.

**Position Objective**
Conduct complex and comprehensive thematic reviews of the Bank's lending portfolio. They are accountable for identifying emerging risks, trends, and opportunities in the portfolio and providing insights and recommendations to improve the bank's lending practices.

**Key Responsibilities**
1. Conducting thematic reviews of the bank's lending portfolio: The senior analyst will conduct in-depth analysis of the bank's lending portfolio, identifying trends and patterns to highlight potential credit risks or opportunities. This could include analyzing the portfolio by product, sector, macroeconomic development, policy changes, etc.

2. Identifying areas of improvement: Based on the analysis of the lending portfolio, the senior analyst will provide recommendations to the head/director on how the bank can improve its lending practices. This may include recommending changes to lending policies, procedures, or risk management practices.

3. Presenting findings: The senior analyst will present their findings to the head/director and other senior management, including the Group Chief Risk Officer and risk committees. They will provide recommendations on how to mitigate identified risks and capitalize on opportunities.

4. Collaborating with other departments: The senior analyst will work closely with other departments, such as credit policy review, credit surveillance, credit appraisals, loan operations, and compliance, to ensure that the thematic reviews conducted are comprehensive.

5. Maintaining documentation: The senior analyst will maintain accurate and comprehensive records of their reviews, including findings, recommendations, and action plans.

**Skills/Knowledge**
- Bachelor's degree in finance, accounting, economics, or a related field.
- Minimum 5 years of experience in credit portfolio analysis, credit risk management, or related field.
- Strong analytical skills and attention to detail.
- Excellent written and verbal communication skills.
- Proficiency in Microsoft Excel and other data analysis tools such as SAS Enterprise Guide, Phyton, Microsoft Power BI.
- Knowledge of banking regulations and lending practices..

Job ID JR100398



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