Job Purpose To independently conduct thorough and accurate credit risk analysis, reviews, and risk rating assignments for corporate and commercial clients domestically & across the Asia-Pacific region, ensuring compliance with internal policies, regulatory requirements, and international
A Market Risk and Portfolio Officer monitors, quantifies, and controls financial risks arising from banking book and trading book movements, ensuring portfolio exposures align with regulatory frameworks and the bank’s internal risk appetite. Primary Objective :
The opportunity As part of the SGV FSO - Financial Services Risk Management (FSRM) practice and you will provide a well-integrated broad array of risk management services to capital market participants within global banking, capital markets,
Job Summary: The Credit Policy and Analytics Manager is responsible for developing, maintaining, and enhancing the Companys credit and other credit related policies, underwriting standards, and portfolio analytics framework. The role provides data-driven insights into portfolio
About the role: The Credit Risk Analyst is responsible for monitoring and analyzing the Companys credit portfolio to identify emerging risks, evaluate portfolio performance, and provide data-driven insights that support credit risk management and business decision-making.