Senior Portfolio Risk Monitoring Manager | Selby Jennings
The client is a reputable bank involved in the stock broking business. Asmpart of an aggressive plan to be one of the more significant key players in the region.
My idea candidate would have had 7 years of direct credit assessment and financial analysis experience, prefereably exposed to stock portfolios and a keen interest in the sector.
Responsibilites for the Senior Portfolio Risk Monitoring Manager:
- Oversee the regional credit exposure and portfolio risk to ensure compliance with Group policies.
- Close monitoring and regular reporting of classified accounts which are of higher credit risk.
- Pro-actively monitors and review exposure of the Group to clients/counters
- Ensure that the Bank’s risk is minimized with appropriate transaction structuring and that documentation is perfected accordingly
- To provide in-depth credit assessment on companies listed on the local and regional stock exchanges, and other classes of asset as collateral for the Group.
- Monitor and analyze the bank’s liquidity gap positions based on cash flow projections
- Monitor credit risk on an overall portfolio basis including its exposure, credit concentration, delinquent and non-performing loans
The opportunity is great for hungry, mid level candidates who wants to join a reputable institution. The person will join a team of top caliber risk managers and will be grommed like them in a long run.
For more information, please visit www.selbyjennings.com or contact us at +65 6589 4410
Selby Jennings Pte Ltd MOM EA License no: 11S3033
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