Our client is an established and growing corporate bank in Asia. The bank believes in developing its people, while it strives to gain market presence in Singapore and regionally (with a focus in North Asia).
about the job
You will be tasked to monitor and manage all aspects of risks (Credit, Market and Operational risks) to ensure a smooth operation in the Singapore Branch.
Assist in the maintenance of the bank’s credit policies to ensure that there’s a good guideline in place for the branch while managing all credit risk activities / credit exposure.
To manage all risks related communications with head office, while ensuring that risk decisions have been cascaded effectively across the Singapore Branch.
Promote a strong and credible risk culture locally.
Handle all reporting matters with the senior management team and regulators
Overall management of risk procedures, risk policies and lending guidelines for the Bank
about the manager / team
With a direct report to the CEO of the Singapore Branch, you will head up a lean and nimble team focusing on activities relating to credit, market and operational risks.
skills & experience required
Degree in Finance, Accountancy, Business Management, Economics or comparable
Has 10+ years of credit risk and market risk management experience within a corporate banking setting
Experience in liaising with MAS for regulatory matters
Familiarity with the risk and lending culture in the Singapore and North Asia markets
Strong business acumen
To apply online, please click on the appropriate link. Alternatively please contact Adeline Lim on for a confidential discussion