• Manager, Credit Portfolio Monitoring & Forecasting Jobs in Vietnam - 23834245

  • Standard Chartered Bank Ltd
  • Vietnam
  • Save Job
  • 0 - 3 Years
  • Posted : above 1 month

Job Description:

Manager, Credit Portfolio Monitoring & Forecasting - ( 1900022829 )

Job Risk

Primary Location ASEAN & South Asia-Vietnam-Ho Chi Minh

Schedule Full-time

Employee Status Permanent

About Standard Chartered

We are a leading international bank focused on helping people and companies prosper across Asia, Africa and the Middle East

To us, good performance is about much more than turning a profit Its about showing how you embody our valued behaviours - do the right thing, better together and never settle - as well as our brand promise, Here for good

Were committed to promoting equality in the workplace and creating an inclusive and flexible culture - one where everyone can realise their full potential and make a positive contribution to our organisation This in turn helps us to provide better support to our broad client base

Job Purpose

The role Assistant Manager, Credit Portfolio Monitoring & Forecasting (PM&F), Retail Clients is a critical role for ensuring sustainable portfolio monitoring and forecasting function of Retail Clients portfolio inclusive of unsecured, secured and business banking loan products The job holder will be responsible for PM&F activities including Portfolio Analysis, Risk Appetite, BCRS reporting, Stress Testing, Regulatory Reporting, LI and Cost forecasting etc
Apart from these, the role holder is also responsible for various ad-hoc analyses, portfolio reporting, cap monitoring, portfolio threshold monitoring and various presentation preparations for PM&F team and group stakeholders The role holder must work closely with Credit Policy, Collections, Credit Quality Assurance, Risk Operations, Technology, Finance and other stakeholders in country and Group to carry out this role
Ensure development, enhancement and implementation of credit analytics tools to improve data-based decision
Ensure Credit Data Mart management for accurate Group Reporting, Regional Reporting and Regulatory Reporting
Support country and regional management with appropriate management report for portfolio and operational performance review
Ensure on time delivery and submission of various ad-hoc analysis, portfolio reporting, cap monitoring and portfolio threshold monitoring reports
Ensure quality and on time delivery of portfolio quality review packs and other relevant portfolio decks for PM&F team and group stakeholders
Embed use of risk management tools in credit approval, limit setting, pricing, credit monitoring, provisioning, and the setting of credit and business strategies
Implement Risk Appetite Agenda in Retail Clients portfolios and ensure portfolio management is governed by Risk Appetite Framework
Supporting stress testing exercise for Retail Clients Portfolio and to ensure Stress testing is reflective of portfolio quality and risk appetite
Manage the BCRS reporting and other Capital Adequacy management agenda of Retail Clients
Lead and manage on-going group initiated projects, and ensure UAT and timely rollout of the projects
Supporting the country LI budget/forecast exercise and update Group/Regional/Country Risk Management committee on regular basis regarding LI movement
Support PM&F in ensuring effective cost control and update management on the monthly movements and lead the budget & forecast exercise
Supporting in management of the BCRS reporting and other Capital Adequacy management agenda of Retail Clients
Supporting on-going group initiated projects, and ensure UAT and timely rollout of the projects

The Role Responsibilities

Supporting in management of the BCRS reporting and other Capital Adequacy management agenda of Retail Clients
Supporting on-going group initiated projects, and ensure UAT and timely rollout of the projects
Supporting in management of the country LI budget/forecast exercise and update Group/Regional/Country Risk Management committee on regular basis regarding LI movement
Ensure effective cost control and update management on the monthly movements and lead the budget & forecast exercise

Profile Summary:

Employment Type : Full Time
Eligibility : Any Graduate
Industry :
  • Risk/Credit/Economic
  • Functional Area : Banks/Insurance/Financial Services
    Role :
  • Salary : As per Industry Standards
    Deadline : 15th Apr 2020

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