Deskripsi Pekerjaan
Are you a seasoned risk professional with a passion for data-driven strategy? Standard Chartered is seeking a Senior Manager, Credit Risk Reporting & MI (CIB) to join our high-performing team in Singapore. In this pivotal role, you will act as a bridge between complex data architectures and executive decision-making, ensuring our Corporate & Institutional Banking (CIB) division maintains a robust risk posture.
You will lead the end-to-end delivery of credit risk reporting, providing actionable Management Information (MI) that informs strategic growth and regulatory compliance. The ideal candidate will possess a sharp analytical mindset, deep expertise in credit risk frameworks, and the ability to influence stakeholders at all levels. Join us to leverage your expertise in a global banking environment where your insights directly impact our strategic risk outcomes.
Tanggung Jawab
- Oversee the development, implementation, and maintenance of comprehensive credit risk reporting frameworks for CIB portfolios.
- Lead the production of periodic and ad-hoc Management Information (MI) reports for senior stakeholders and risk committees.
- Drive continuous improvement in data quality, lineage, and automation to enhance the efficiency of risk reporting processes.
- Collaborate with cross-functional teams, including Finance, Treasury, and Front Office, to ensure consistency in risk metrics and reporting.
- Interpret complex data trends to provide insightful analysis that supports proactive risk mitigation strategies.
- Ensure full compliance with global regulatory standards and internal credit risk policies throughout the reporting lifecycle.
- Mentor junior team members and foster a culture of data-driven excellence within the risk function.
Kualifikasi
- Bachelor’s or Master’s degree in Finance, Economics, Statistics, or a related quantitative field.
- Minimum 8-10 years of experience in credit risk management, reporting, or business intelligence within a global banking institution.
- Expertise in SQL, Python, or advanced visualization tools (Tableau, Power BI) preferred.
- Deep understanding of CIB products, credit risk methodologies, and regulatory requirements (e.g., Basel III/IV).
- Proven track record in managing complex data sets and delivering high-impact executive-level reports.
- Strong interpersonal skills with the ability to communicate technical risk concepts to non-technical stakeholders.
- Professional certification (e.g., FRM, CFA) is highly advantageous.