Monitor portfolio and funding performance, including asset quality, cash flow trends, and reporting, while supporting ongoing partner management and issue resolution.
Analyse funding and portfolio data to identify opportunities to optimise funding allocation, improve capital efficiency, and reduce cost of funds.
Conduct research on market trends, securitisation structures, and regulatory developments across key markets.
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Actively monitor team morale through surveys, feedback channels, and direct interactions; identify potential issues and provide proactive, actionable solutions
Support HR data analysis and reporting to assist leaders in making informed decisions
Ensure compliance with HR policies, processes, and employment regulations by working closely with the HR team
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Lead ad-hoc deep-dives to answer emerging questions from Risk and business stakeholders
Develop segmentation and treatment strategies for Consumer and SME loan portfolios across the full recovery spectrum — from early-stage outreach to field visits, legal action, and outsourced partners
Support debt resolution programs, including structuring restructuring and settlement options for customers
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Conduct CDD, KYC, and onboarding reviews, ensuring compliance with MAS regulations and internal policies.
Collaborate with product, operations, risk, and credit teams to improve processes and enhance product propositions based on customer feedback and portfolio data.
Minimum Bachelor's degree in a relevant field.
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Monitor portfolio performance and concentration risks across industries and geographies, conducting regular stress tests and scenario analyses.
Ensure compliance with regional regulatory requirements while maintaining consistency with Group-wide risk governance and Basel standards.
Provide consolidated reporting and insights on portfolio trends, risk drivers, and early warning signals to regional senior management and Group committees.
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