xc2xb7 To monitor portfolio risk quality and support regulatory reporting.xc2xb7 To understand various portfolio characteristics based on analysis results and propose recommendations on policy, strategic and operational improvements, if required.xc2xb7 Provide timely analytical support to other departments/units like Credit Approval and Risk and Business etc.xc2xb7 Preparation of credit/risk reports and analytics on timely basis for various stakeholders which inclusive of local management/ Board, Group office as well as external parties such as BNM/MAS.xc2xb7 Ensure timely escalation to the Senior Management on asset quality issues of the portfolios and/or any deviation from the pre-set risk thresholds, triggers and budget to the respective stakeholdersxc2xb7 Develop the MIS through effective data management and infrastructure maintenance including processes for validating the accuracy of reports generated.xc2xb7 To actively participate in and manage projects, if any.Qualificationsxc2xb7 At least 2-5years of working experience in banking industryxc2xb7 Possess a recognized Degree in Business Studies/ Statistical or other related disciplinesxc2xb7 Knowledgeable in SAS, SQL or Pythonxc2xb7 Strong in Microsoft Office such as Excel, Word, and PowerPointxc2xb7 Have data extraction and mining capabilities and with strong analytical skillxc2xb7 Good communication and interpersonal skillsxc2xb7 Possess Corporate or SME product knowledge and working experience in Credit Risk MIS and/ or business analytical area are added advantage.
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