Vice President - Credit Portfolio Management & Regulatory Reporting

Variable Bonus Payout
02 Oct 2018
24 Oct 2018
Contract type
Full time

Portfolio Management

  • Prepare credit portfolio reports and analyse the key risks from the trends
  • Prepare and analyse provision figures under IFRS framework
  • Formulate scenarios for stress test, conduct stress test (internal and MAS IWST) and analyse the stress test results
  • Liaise with regulator and internal/external stakeholders on credit portfolio matters
  • Presentation of portfolio trends, stress test results and other credit-related topics to

Management during monthly Credit Committee meetings

  • Regulatory Reporting
  • Prepare credit-related regulatory reports/surveys such as MAS639, MAS757, Section35, MAS Top
  • 100 and credit condition survey etc
  • Participate in projects relating to the implementation/revision of regulatory reporting
  • Liaise with regulator and internal stakeholders on regulatory reporting matters
  • Support enquiry from business and other stakeholders in relation to credit regulatory reporting and portfolio management

Job Requirements:

  • Strong experience in credit portfolio reporting/management and Stress Test
  • Good Microsoft skills (Excel, Word, PowerPoint)
  • Strong analytical and problem solving skills
  • Meticulous with numbers
  • Pleasant nature, Committed and able to handle stress in time-sensitive reports / projects
  • Familiarity with MAS IWST (credit), MAS credit-related reports/surveys and IFRS framework will be an advantage

For interested parties, kindly send in your resume in MS Word format to

Capita Pte Ltd | EA License No.: 08C2893 | RCB No. 200701282M
Registration No.: R1550615 (Romero Abdullah @Romero Yap Loy Fatt)

We regret that only shortlisted candidates will be notified.

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