Vacancy Description
Overview
The role holder will be responsible for proactively managing the credit risk (monitoring and analysis) of a complex portfolio of Global Banking (GB) accounts in close co-ordination with the originating deal team.
- Manage respective Portfolio.
- Strategy
- Ensure forward looking credit analysis and make recommendations to actively sell down/credit insure riskier assets in the book.
- Ability to analyze risk/return and optimize profits (own portfolio as well as Directs, as applicable). Recommendations based on forward looking risks (driven by CG downgrades and incremental credit losses, stress tests, etc.).
- Support on packaging deals with distribution/securitization teams for funded/unfunded risk participations or synthetic sell downs (e.g. CLOs).
- Work closely with SAG/SAR and the GB product teams to ensure that stage 3 ECLs are reasonable and arrived at with realistic ass...
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