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Open nowPosted 4 days ago

Credit Risk Analyst (Portfolio & Risk Analytics)

MyCareersFuture94,028 open roles

Pay
SGD 5,000 – SGD 6,000 a month
Where
Singapore
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Your applicationOpen nowCredit Risk Analyst (Portfolio & Risk Analytics)MyCareersFuture · Singapore
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This job: posted 4 days ago

The posting

We are hiring a Credit Risk Analyst on behalf of our client, a leading Chinese bank in Singapore. You will play a key role in monitoring the Bank’s credit portfolio, preparing risk reports, supporting stress testing and IFRS 9 ECL processes, and strengthening the Bank’s credit risk framework. This role offers excellent exposure to portfolio risk management and regulatory risk reporting in a dynamic banking environment.

Responsibilities

  • Support the development and enhancement of credit risk policies, frameworks, and governance standards to strengthen risk management.
  • Monitor adherence to internal credit policies and regulatory requirements to ensure compliance.
  • Prepare and deliver regular portfolio risk reports and management information for Senior Management, Risk Committees, Head Office, and regulators.
  • Conduct portfolio analysis to identify concentration risks, emerging trends, early warning signals, and risk indicators for proactive risk mitigation.
  • Support credit portfolio stress testing exercises by performing scenario analysis and preparing regulatory submissions.
  • Assist in IFRS 9 Expected Credit Loss (ECL) calculations, reporting, and model enhancement initiatives to ensure accurate risk measurement.
  • Support climate and environmental risk management activities, including portfolio monitoring and climate risk assessments.
  • Collaborate effectively with stakeholders across Credit, Risk, Finance, Compliance, and Business teams to drive risk-related initiatives.
  • Participate in ad-hoc projects and assignments as delegated by the Head of Credit Risk, contributing to continuous improvement.

Required competencies and certifications

  • Bachelor’s Degree in Finance, Banking, Economics, Accountancy, Statistics, Mathematics, or other quantitative disciplines.
  • 2–5 years of experience in Credit Risk, Portfolio Risk, Risk Analytics, Credit Portfolio Management, or Enterprise Risk within a bank or financial institution.

Preferred competencies and qualifications

  • Exposure to portfolio reporting, stress testing, IFRS 9 ECL, risk analytics, or regulatory reporting.
  • Experience with SQL, SAS, Python, Power BI, Tableau, or similar analytical tools.
  • Fresh exposure to climate/environmental risk management.
  • Proficient in Microsoft Excel.
  • Good understanding of banking products and credit risk concepts.
  • Strong communication and stakeholder management skills.
  • Ability to work independently and manage multiple priorities.
  • Proactive, responsible, and eager to learn.
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