Citibank Berhad KL CCB Risk Portfolio Manager

Citibank - More jobs by this advertiser
Citibank Berhad KL CCB Risk Portfolio Manager-18073195
Description
 
  • Develop a holistic understanding of Citi’s Commercial Risk Management Policies and Processes, including CCB Country Appendix and Local Operating Procedures
  • Responsibility to make informed credit decisions through an understanding of client’s business and our risk appetite
  • Review and approve annual and interim or event driven credit proposals that require Independent Risk sign-off. 
  • Conduct client calls on top 20 CCB client exposures to develop a thorough understanding of clients’ business and our credit strategy.
  • Portfolio Management
  • Active monitoring of Citi’s Commercial Bank portfolio in Malaysia, including EWR Checks with focus on proactive problem recognition
  • Conduct monthly portfolio management activities, including interaction with Portfolio Analytics teams to monitor and analyse trends, and co-ordinate the preparation of portfolio decks, training material, and presentations for Board of Citibank Bhd, local regulator and management
  • Develop a good understanding of IFRS9 methodology and the overarching governance and control framework; conduct a stream of monthly IFRS9 Wholesale Risk activities, including coordination with FRI, QRS and Finance
  • Active interaction with local regulators; manage increased demands of regulatory requirements, including ensuring monitoring data quality and timely input from key stakeholders
  • Develop a common risk culture between CCB & ICG Risk with a view to streamline processes and regulatory requirements at local level; Conduct joint training sessions on Local Regulatory Risk Policies & Citi Risk policies; Provide guidance and coaching on policies and processes to Business, Wholesale Risk and CRMS teams

Qualifications
 
  • An existing Credit Officer with at least 10 years’ experience 
  • Ability to understand banking, capital markets products, treasury, trade and  transaction services
  • Strong analytical skills
  • Participates in training and ensures there are consistent global standards.
  • Excellent communication skills - verbal & written
  • Efficient time management and ability to cope with an unpredictable but time sensitive credit transaction or regulatory timelines
  • Demonstrated strong ethics and integrity
  • Knowledge of operational, market and franchise risk is a plus
  



14 April 2019
Location: Malaysia Corrientes Kuala Lumpur
Work type:
Full time
Sector:
Banking and Financial Services
Profession:
Other
PLEASE! No enquiries from Recruitment Agencies or Headhunters.

Only direct applications will be considered.

This career opportunity is no longer open.
Please search for current vacancies here.


Bookmark and Share
  • Previous Next


This website uses cookies

This website uses cookies to improve user experience. By using our website you consent to all cookies in accordance with our Cookie Policy.
I agree
Read more