Citibank Berhad KL Risk Policy Analyst Manager
- Recruiter
- Citibank Berhad
- Location
- Kuala Lumpur, Malaysia
- Salary
- Competitive
- Posted
- 15 Jul 2018
- Closes
- 19 Jul 2018
- Ref
- 3895356
- Contract type
- Permanent
- Hours
- Full time
- Experience level
- Manager
- Primary Location: Malaysia,Wilayah Persekutuan,Kuala Lumpur
- Education: Bachelor's Degree
- Job Function: Risk Management
- Schedule: Full-time
- Shift: Day Job
- Employee Status: Regular
- Travel Time: Yes, 10 % of the Time
- Job ID: 18028783
Description
Strategic Intent
To support Risk Management of a consumer credit product / portfolio, by leveraging the use of analytics and MIS to manage the portfolio performance, provide inputs for appropriate acquisition and portfolio actions as well as collection strategies.
Responsibilities
- Monitor portfolio performance and trends using analytics, MIS and other technology based tools viz. SAS, SQL etc.
- Evaluate portfolio performance and provide meaningful inputs to Portfolio Risk Manager to develop appropriate actions/strategies to improve credit quality.
- Oversee the monitoring and escalation of potential problem accounts e.g. through the early alert process, portfolio monitoring and review processes.
- Manage Through-the-Door (TTD) and Portfolio Credit performance by providing analytical inputs to product risk managers and working closely with them on revised strategies to address areas of improvement.
- Support in-country/regional/regulatory reporting requirements by producing various periodic MIS reports and assist managers in developing and running stress testing models as per local and global regulatory requirements.
- Use of automated decision tools available to the business to drive new business / portfolio actions in a controlled manner. Manage systemic controls through policy decision engines and other system platforms
- Provide analytical input for collections to improve portfolio risk segmentation, delinquency management, recoveries and net credit losses, using applicable tools, systems and frameworks
- Ensure strict compliance with all regulations and controls as set by the Bank, Global Risk and external regulatory authorities.
- Support business to achieve consistent satisfactory audit rating, through MIS and analytics inputs.
Qualifications
Qualifications
- Graduate, preferably in Economics, Accounting, Business Administration, Engineering, Computing or Statistics.
- Minimum of 3 years of work experience - preferably in banking / financial service / analytics industry. Experience in a multinational bank and/or Risk Management would be an added advantage.
- Strong working knowledge and understanding of analytics tools, preferably in SAS / other database query programs.
- Good communication and interpersonal skills.
- Self-motivated, possess initiative and committed to quality.
- Strong team player with ability to work and think independently.
- Proficiency in the English language (both verbal and written).
- Ability to present information in a concise and precise manner to senior management.
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