Citibank Berhad KL Risk Policy Analyst Manager

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.


#LI-MY

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