Deputy Head/ Team Lead, Credit and Risk Control recruitment
Reporting to: Head of Credit Risk ControlFunctional Manager: i. Credit Management, Group Credit ii. Trading Risk Management, CMP Financial Risk Control (FRC)Requirements:Credit Control • Develop and implement policies and procedures, consistent with Company’s overall credit risk and control policies and procedures • Review all credit proposals and annual reviews to ensure that the credit memorandums are prepared in accordance with the guidelines • Act as secretary cum member in the Local Credit Committee Read more […]
VP CVA Quant – Singapore, SEA recruitment
Selby Jennings is currently mandated to fill a role within a Top Investment Bank who are looking to hire a CVA VP within the Quantitative Market Risk team. The position will cover CVA and counterparty risk methodologies including CCDS, CVA,PD/EAD models, PFE and others; yet with a main focus on validation of key derivative pricing models. The group is highly dynamic with significant investment into it and has as a result seen extremely successful growth over the last number of years. The bonuses within the team are completely performance related with top performing individuals seeing 100%. Given Read more […]
COUNTERPARTY CREDIT ANALYST (ASSOCIATE/AVP/VP) recruitment
COUNTERPARTY CREDIT ANALYST (ASSOCIATE/AVP/VP)With an extensive global and regional presence, this financial institution provides a full suite of services across corporate and investment banking including corporate finance, risk management and global markets.Due to business needs, this organization now seeks a top tier credit analyst professional to join their Singapore team.Responsibilities- Credit risk analysis on a portfolio of Financial Institution counterparties- Providing recommendations and highlighting risk issues to internal stakeholders both verbally and in written format- Monitoring Read more […]
Deputy Head of Credit & Risk Control recruitment
The Company Our client is a leading financial services group with more than 1,400 branches and present in 19 countries around the world. The Role As a Deputy Head of Credit Risk control, you are required to be involved in 3 key risk areas (i) Credit Control (ii) Market Liquidity Risk Control (iii) AML Risk Control. Your overall responsibilities would include assisting the Head to manage the Dept and supervising staff in Credit Risk Control to perform credit control, market liquidity risk and AML risk. For Credit Control, you will be developing and implementing policies and procedures, consistent Read more […]
Credit & Country Risk Analyst – AVP, Singapore, SEA recruitment
The Role• Monitor portfolio quality including delinquency, NPL and charge-off ratios• Ensure the timely and accurate generation of Senior Management reports• Review of consumer risk policies• Review of consumer credit product programs.• Conduct ad-hoc portfolio analysis• Provide oversight on consumer risk in subsidiaries.Ideal Candidate• Demonstrates initiative to take ownership of assigned tasks and see them through to completion;• A good team player, able to work with colleagues from various business units and overseas subsidiaries;• Able to manage multiple tasks concurrently Read more […]
Portfolio Risk Manager – Director Level, Singapore, SEA recruitment
The Role:The individual will be responsible for a portfolio of Asian banks. The portfolio will include some of Asia’s most complex and high-profile banks. The candidate requiressufficient experience, analytical depth and credibility to handle a challenging portfolio in terms of issuer and investor interaction. Responsibilities:• Monitor credit profile of rated banks.• Follow through new rating requests and assign new ratings.• Write accurate, insightful and focused credit research of a high quality.• Develop in-depth knowledge of the banks and systems assigned.• Build and maintain Read more […]
Credit and Country Risk Analyst – AVP, Singapore, SEA recruitment
The Role• Monitor portfolio quality including delinquency, NPL and charge-off ratios• Ensure the timely and accurate generation of Senior Management reports• Review of consumer risk policies• Review of consumer credit product programs.• Conduct ad-hoc portfolio analysis• Provide oversight on consumer risk in subsidiaries.Ideal Candidate• Demonstrates initiative to take ownership of assigned tasks and see them through to completion;• A good team player, able to work with colleagues from various business units and overseas subsidiaries;• Able to manage multiple tasks concurrently Read more […]
Portfolio Risk Manager – Director Level, Singapore APAC recruitment
The Role:The individual will be responsible for a portfolio of Asian banks. The portfolio will include some of Asia’s most complex and high-profile banks. The candidate requiressufficient experience, analytical depth and credibility to handle a challenging portfolio in terms of issuer and investor interaction. Responsibilities:• Monitor credit profile of rated banks.• Follow through new rating requests and assign new ratings.• Write accurate, insightful and focused credit research of a high quality.• Develop in-depth knowledge of the banks and systems assigned.• Build and maintain Read more […]
CORPORATE CREDIT ANALYST, ASSOCIATE recruitment
CORPORATE CREDIT ANALYST, ASSOCIATEWith a strong regional presence, this Asian bank provides a full suite of services across corporate and retail banking. Due to business growth, the bank now seeks a credit analyst to join their Singapore team.Responsibilities- Analyze credit proposals for corporate banking transactions- Providing independent and timely recommendations to highlight risk issues to internal stakeholders both verbally and in written format- Monitoring existing accounts and reviewing credit risk control policiesRequirements- 3 to 5 years work experience as a credit analyst- Credit Read more […]
VP/Director-Market Risk Manager, FX/Rates recruitment
Main Responsibilities:-Responsible for Credit (EM and non-EM) in addition to EM Rates and FXThe candidate can be responsible for Commodities and GFX products if he/she has strong experience in these areasOversight of the trading activities and risk management processDevelop, test and implement the risk infrastructure to facilitate risk oversight; including product approval; setting limits and controls; construction of rates and curves; models and pricing functions; stress testing; Value-at-Risk methodologies; developing risk and reporting framework; regulatory and compliance requirement.Ensuring Read more […]