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MGR/AVP, Consumer Unsecured Analyst, Group Portfolio Analytics & Reporting

Employer
OCBC Bank
Location
Singapore, Singapore
Salary
Competitive
Closing date
Jun 12, 2023

View more

Job Function
Other
Industry Sector
Finance - General
Employment Type
Full Time
Education
Bachelors
OCBC Bank is the longest established Singapore bank, formed in 1932 from the merger of three local banks, the oldest of which was founded in 1912. It is now the second largest financial services group in Southeast Asia by assets and one of the world's most highly-rated banks, with an Aa1 rating from Moody's. Recognised for its financial strength and stability, OCBC Bank is consistently ranked among the World's Top 50 Safest Banks by Global Finance and has been named Best Managed Bank in Singapore by The Asian Banker.

Division Description
Group Risk Management (GRM) is an independent function responsible for ensuring that risk management practices at OCBC Bank are effective and comprehensive.
GRM builds and drives the Bank's businesses through an integrated risk management approach relying on strong risk analytics to support strategic business decision-making and to create a competitive edge for the Group.
This position is in the Group Portfolio Analytics & Reporting (GPAR) department of GRM and will report to the Project/System Team Lead of GPAR.

Key Requirements:
  • Extract insights from data to facilitate credit portfolio management and to conduct review and creation of policies.
  • To support management reporting for lending portfolios.
  • To automate and optimise data processing pipelines that are used in credit risk MIS.


Qualifications
The ideal Candidate will meet the following requirements:
  • Good analytics skills.
  • Good familiarity with the use of programming/scripting languages (e.g., SAS, Python) to perform data analysis and manipulation.
  • Good written communication skills.
  • Ability to multi-task and to work independently.
  • Willing to take on new challenges and work in a fast-paced environment.
  • Preferably with a minimum of 3 years working experience in credit portfolio risk management.

At OCBC, we recognise your drive, passion and talent. We will bring out the best in you and empower you to excel. Fulfil your life goals and career ambitions with us.

*We regret that only shortlisted Candidates will be notified.

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