61 Credit Risk Management Jobs - July 2026 - High Salaries

显示61个工作的结果 "credit risk management"
不要错过任何 Credit Risk Management 的新工作机会
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MYR17,000 - MYR20,000 每月
靠近火车站
  • Improve performance standards and foster high-accountability, high-service culture within the team with the right balance of productivity level. Enhance team capabilities through training on financial analysis, sector-specific risks, systems, and data analytics.
  • Promote cross-functional collaboration with Finance, Procurement, Commercial, Operations, Legal, and Compliance teams.
  • Ensure compliance to credit policies, procedures, and approval matrices. ...
Leadership Credit Risk Management
+1

最后机会申请此工作。

Posted
3 days ago
MYR3,000 - MYR6,000 每月
靠近火车站
  • Proactively identify client needs and opportunities to offer suitable banking solutions, cross-selling and up-selling relevant products and services to enhance client relationships and achieve business objectives.
  • Collaborate with internal departments, including credit, operations, and product teams, to facilitate seamless service delivery and resolve complex client issues in a timely manner.
  • Maintain detailed and accurate client records in the CRM system, documenting all interactions, transactions, and follow-up actions to ensure comprehensive client history. ...
Posted
a month ago
Undisclosed

Singapore

  • Oversight of NPL and risk triggers and monitor remedial actions if breached.
  • Pollinate credit best practices across the Region.
  • Support implementation of alternative lending across the Region. ...
Posted
14 days ago
Undisclosed

Singapore

  • Participate in the implementation and enhancement of CCR risk models within exposure management systems and oversee the end-to-end flow CCR exposure flow to ensure risk exposures are accurately captured and reported, collaborate with other control functions for model validation for compliance with internal and regulatory governance standard.
  • Conduct system testing and exposure validation exercises, including investigation of data discrepancies. Prepare and maintain relevant model, methodology and procedure documentation.
  • Engage and coordinate with key stakeholders across Business, Technology, Operations, and other Risk Control functions on system development (enhancement), data integrity, exposure investigations and process improvements. ...
Posted
14 days ago
SGD3,300 - SGD3,300 每月

Singapore

  • Conduct credit reviews of loans and securities to evaluate creditworthiness and risk exposure
  • Analyze financial statements and accounting items using Excel, including data analysis and VBA skills where applicable, to support financial evaluations
  • Assist in developing and improving the Bank’s lending and risk management policies to enhance operational effectiveness ...
Posted
9 days ago
Undisclosed

Singapore

  • Propose and implement obligor level credit conditional monitoring and early warning triggers for regional products
  • Conduct portfolio monitoring and analysis on concentration risk and asset quality
  • Prepare and analyse regional level risk reports such as portfolio performance, industry exposure, vendor performance and historical customer trends ...
Posted
a day ago
SGD9,000 - SGD9,000 每月

Singapore

  • The incumbent will drive portfolio performance monitoring, credit underwriting policy enhancements, credit risk analytics, governance oversight, and risk management initiatives across the SME Small Business Lending portfolio, while promoting a strong risk culture and maintaining the integrity of risk-return decision making.
  • Key Responsibilities
  • Strategy ...
Posted
6 days ago
Undisclosed

Singapore

  • Work closely with Business to optimize business profitability and volumes with a balanced credit quality.
  • Awareness and understanding of the wider business, economic and market environment in which the Group operates
  • Review & provide feedback to management/ Group Risk to ensure practicality & feasibility for the implementation of a robust credit policy ...
Posted
6 days ago
Undisclosed

Singapore

Posted
6 days ago
Undisclosed

Singapore

  • Propose and implement obligor level credit conditional monitoring and early warning triggers for regional products
  • Conduct portfolio monitoring and analysis on concentration risk and asset quality
  • Prepare and analyse regional level risk reports such as portfolio performance, industry exposure, vendor performance and historical customer trends ...
Posted
16 days ago
Undisclosed

Singapore

  • Ensure an understanding of key credit risks and exposures among stakeholders, and facilitate responsible and effective risk-taking in line with GIC’s counterparty credit risk appetite and objectives
  • Keep abreast of changes in operating environment and regulations, and assess and address the potential impacts on counterparty credit risk
  • Maintain strong control and governance processes as well as manage day-to-day onboarding of counterparties or service providers, and compliance monitoring of approved credit limits, guidelines and restrictions ...
Posted
9 days ago
Undisclosed

Singapore

  • Provide robust management and mentorship to a team of specialized risk officers, cultivating a culture of high productivity, continuous learning, and technical excellence.
  • Manage high-risk and stressed corporate exposures with specialized monitoring strategies, ensuring timely interventions and appropriate categorization.
  • Partner collaboratively with commercial business leaders and participate in regular client engagements to provide strategic risk insights that enhance portfolio quality and pricing decisions. ...
Posted
15 days ago
Undisclosed

Singapore

  • Participate in the implementation and enhancement of CCR risk models within exposure management systems and oversee the end-to-end flow CCR exposure flow to ensure risk exposures are accurately captured and reported, collaborate with other control functions for model validation for compliance with internal and regulatory governance standard.
  • Conduct system testing and exposure validation exercises, including investigation of data discrepancies. Prepare and maintain relevant model, methodology and procedure documentation.
  • Engage and coordinate with key stakeholders across Business, Technology, Operations, and other Risk Control functions on system development (enhancement), data integrity, exposure investigations and process improvements. ...
Posted
a day ago
Undisclosed

Singapore

  • Be pro-active management of credit portfolio amid evolving changes in market dynamics and escalate credit concerns/issues to management in a timely manner. Display strong credit management skills and sound judgement in credit solutions and recommendations.
  • Be courageous in sharing views and solutions at meetings and business initiatives. Maintain continuous and good engagement with stakeholders.
  • Be well-versed with the Bank’s credit policies and procedures and their changes and recommend credit policy changes, as required. Be part of Risk teams in enhancing risk management standards/governance, procedures, processes and initiatives. ...
Posted
5 days ago
Undisclosed

Singapore

  • Monitor sector/industry developments and maintain proactive oversight of allocated portfolios and clients from a client-specific, industry and country perspectives. Work closely with business units to identify early warning signs and provide timely & sound credit risk mitigation strategies for potentially weak credits for early remediation.
  • Perform targeted portfolio reviews in response to events/developments that may have an adverse impact on the overall credit quality of exposures, portfolios and formulate action plans to minimize / manage risks identified.
  • Provide thought leadership and risk guidance for new business initiatives with a view to develop credit and policy guidelines. Undertake ad-hoc tasks/ projects as may be required from time to time, including active participation in change initiatives to drive efficiency. ...
Posted
18 days ago
Undisclosed

KL City

  • Conduct portfolio monitoring, including financing sourcing, portfolio performance, concentration risk, and asset quality.
  • Prepare the credit risk report for Management and all credit-related reports for regulatory submission.
  • Perform in-depth portfolio analysis to identify underlying risk drivers, vintage trends, and segment-specific issues. ...
Posted
21 days ago
Undisclosed

Singapore

  • Credit Procedures / Processes.
  • Products and initiatives e.g. test programs.
  • Systems. ...
Posted
16 days ago
Undisclosed

Singapore

  • Credit Framework.
  • Credit Programs.
  • Credit Procedures / Processes. ...
Posted
17 days ago
Undisclosed

Singapore

  • Pro-active management of credit portfolio amid evolving changes in market dynamics and escalate credit concerns/issues to management where required.
  • Be well-versed with the Bank’s credit policies and procedures and recommend credit policy changes, as required. Participate in the development of risk management standards/governance, procedures and processes where required.
  • Ensure new transactions and credit renewals meet OCBC’s risk acceptance criteria, risk policies and procedures, as well as regulatory requirements. ...
Posted
17 days ago
Undisclosed

Hong Kong

  • Degree or above in Business/ Finance/ Economics/ Auditing or any related subject
  • Experience in loan review, comments on credit proposals, review credit policies
  • Familiar with financial regulatory policy requirements ...
Posted
21 days ago
Undisclosed

Hong Kong

  • Evaluate borrower creditworthiness through detailed financial analysis, stress testing, and industry assessment
  • Ensure adherence to internal credit policies, regulatory standards, and regional risk frameworks
  • Lead and participate in credit committees, presenting views and influencing decision-making ...
Posted
16 days ago
Undisclosed

KL City

  • Strong stakeholder management and communication skills, with the ability to provide balanced risk guidance while supporting sustainable business growth.
  • A recognised Degree in Accounting, Finance, Commerce, Economics, Business or a related discipline is required.
  • Our client is a leading financial institution with a strong market presence. It is seeking to hire a SVP, Credit Risk Management to lead credit approval and risk governance. ...
Posted
25 days ago
Undisclosed

Singapore

  • Participate in the implementation and enhancement of CCR risk models within exposure management systems and oversee the end-to-end flow CCR exposure flow to ensure risk exposures are accurately captured and reported, collaborate with other control functions for model validation for compliance with internal and regulatory governance standard.
  • Conduct system testing and exposure validation exercises, including investigation of data discrepancies. Prepare and maintain relevant model, methodology and procedure documentation.
  • Engage and coordinate with key stakeholders across Business, Technology, Operations, and other Risk Control functions on system development (enhancement), data integrity, exposure investigations and process improvements. ...
Posted
22 days ago
Undisclosed

Singapore

  • Your Opportunity Starts Here.
  • As a Counterparty Credit Risk Management Specialist at OCBC, you will play a critical role in managing the bank's exposure to counterparty credit risk. You will have the opportunity to work with a team of experienced professionals to identify, assess, and mitigate potential risks, and contribute to the bank's overall risk management strategy. This role offers a unique blend of analytical and strategic thinking, and the chance to make a meaningful impact on the bank's operations.
  • To succeed in this role, you will need to develop a deep understanding of the bank's counterparty credit risk management framework and policies. You will need to analyze complex data sets, identify potential risks, and develop effective mitigation strategies. You will also need to collaborate with various stakeholders, including traders, risk managers, and senior management, to ensure that risk management decisions are informed and effective. ...
Posted
22 days ago
SGD7,000 - SGD7,000 每月

Singapore

  • Define scope and objectives for complex application enhancements and problem resolution, partnering with development and production support teams to prioritize bug fixes and tooling improvements.
  • Participate in end-to-end application releases — spanning development, testing, and deployment into production — and conduct post-implementation analysis to validate system design and functionality.
  • Identify risks, vulnerabilities, and security considerations within the technology environment, communicating impact clearly to relevant stakeholders. ...
Posted
7 days ago
Undisclosed

Singapore

  • Conduct system testing and exposure validation exercises, including investigation of data discrepancies. Prepare and maintain relevant model, methodology and procedure documentation.
  • Engage and coordinate with key stakeholders across Business, Technology, Operations, and other Risk Control functions on system development (enhancement), data integrity, exposure investigations and process improvements.
  • Contribute to the maintenance and enhancement of the Group’s counterparty credit risk system to support counterparty risk management activities, including but not limited to system configuration, risk parameter calibration, risk metric aggregation, stress testing, back testing, and reporting. ...
Posted
25 days ago
Undisclosed

Singapore

  • Be pro-active management of credit portfolio amid evolving changes in market dynamics and escalate credit concerns/issues to management in a timely manner. Display strong credit management skills and sound judgement in credit solutions and recommendations.
  • Be courageous in sharing views and solutions at meetings and business initiatives. Maintain continuous and good engagement with stakeholders.
  • Be well-versed with the Bank’s credit policies and procedures and their changes and recommend credit policy changes, as required. Be part of Risk teams in enhancing risk management standards/governance, procedures, processes and initiatives. ...
Posted
a month ago
Undisclosed

台灣

  • Monitor and report on credit risk metrics, trends, and emerging risks
  • Provide subject matter expertise and guidance to the business on credit risk-related matters
  • Contribute to the continuous improvement of credit risk management policies, processes, and tools ...
Posted
5 days ago
Undisclosed

台灣

  • Schedule:
  • Employee Status:
Posted
12 days ago
Undisclosed

Singapore

  • Prepare and compile materials for risk reporting and governance-related requirements under guidance from senior team members.
  • Support ongoing monitoring of adherence to internal policies and frameworks.
  • Data Analysis & Reporting ...
Posted
a month ago