Citibank Berhad KL CCB Risk Portfolio Manager

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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
  



27 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.

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