Purpose of the role:
We are looking for a motivated Manager to join our Portfolio Quality & Assurance team. The role focuses on ensuring data accuracy, compliance and continuous improvement in portfolio management through quality assurance and governance.
Key Responsibilities:
Ensure accurate data capture to provide reliable risk assessments on program lending (i.e. SFGS loan) including conducting financial analysis and credit checks.
Prepare detailed reports on portfolio quality assessments and health checks for management review.
Assist in the development and delivery of training programs for frontline teams on quality standards and best practices on credit process.
Ensure adherence to internal policies and external regulatory requirements related to portfolio management.
Work collaboratively with Credit Risk Management and other stakeholders to foster a culture of quality and continuous improvement.
Assist Data Management Office and Data Steward with periodic sample checking to ensure compliance and accuracy.
Qualifications & Experience:
Bachelor’s degree in Finance, Business, Risk Management or a related discipline.
Minimum 5 – 10 years of experience in pending lending, portfolio quality assurance, risk management or related fields.
Strong understanding of portfolio management controls and governance on SME loans
Proven ability to develop and deliver training programs.
Excellent analytical, organizational and communication skills.
Proficient in relevant software and data management tools.
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