AVP – Credit Risk Analyst (C & I Portfolio)

Full Time



Job Duties:

  • Review origination report prepared by the business department and prepare evaluation report and conduct an independent risk analysis
  • Review and manage individual loans within the portfolio that may deem stressed, prepare risk analytics with risk mitigation recommendations for management
  • Implement credit risk policy and ensure it adheres to local and head office credit risk policies, utilize independent stress test and/or scenario analysis while analyzing leveraged/structured finance deals
  • Analyze the risk metrics to enable comparison of the Bank’s risk limits and risk tolerance on portfolio and aggregate enterprise level in line with the risk appetite and risk governance framework
  • Review and report loan workout to credit approval committee and credit risk committee
  • Provide restructuring or collection strategy to maximize the Bank’s return and coordinate with the Bank’s attorney in litigation against default customers and other related parties

Job Requirements:

  • Bachelor’s degree is required, preferably in Finance/Economics/Statistics/Mathematics/Engineering major; a Master’s degree is preferred
  • 3-5 years of relevant working experience in credit risk focusing on commercial & industrial loans
  • Great communication skills
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