Special Asset Management Specialist - SME at CIMB Singapore
Singapore, , Singapore -
Full Time


Start Date

Immediate

Expiry Date

02 Aug, 26

Salary

0.0

Posted On

04 May, 26

Experience

2 year(s) or above

Remote Job

Yes

Telecommute

Yes

Sponsor Visa

No

Skills

Portfolio Risk Management, Data Visualization, Python, SQL, SAS, Excel, Asset Quality Monitoring, Risk Identification, Data Analytics, Process Optimization, Credit Lifecycle Management, Tail Risk Analysis

Industry

Banking

Description
Key Responsibilities: Portfolio Risk Tiered Segregation & Account Strategy * Prepare & review logic for SME account segregation & risk identification, ensuring scripts / code is operational & accurate * Prepare Monthly Portfolio Management and Monitoring Decks and facilitate key credit portfolio meetings, conduct tail risk analysis & develop efficient exception review triggers * To engage with relevant stakeholders on enhancements to be made to SME Portfolio Management and monitoring framework Governance & Discipline * Formalize all enhancements & customization of SME Portfolio Management and Monitoring Framework in the appropriate local & group committees * Maintain SME Portfolio Management and Monitoring Framework process manual with annual review / ad-hoc updates * Conduct Monthly Portfolio Management and Monitoring Forum, monthly with minimum quorum Data Analytics & Insights * Develop and maintain dashboards and reporting tools to monitor asset quality metrics (e.g., NPL ratios, delinquency trends, vintage analysis). * Perform deep-dive portfolio analysis to identify emerging risks and recommend mitigation strategies. * Collaborate with data teams to ensure data integrity, consistency, and availability for asset quality monitoring. Transformation & Process Optimization * Lead or support initiatives to digitize and automate asset quality monitoring and reporting processes. * Identify and implement process improvements across credit lifecycle stages (origination, monitoring, collections). * Partner with technology teams to design and deploy tools or systems that enhance risk visibility and decision-making. Requirements:  * Bachelors Degree in Data Analytics, Statistics, Business, or a related field * Proficiency in data visualization tools (e.g. Qlik, Power BI, Tableau)  * Proficiency and Excel * Experience with Python, SQL, SAS, or other data manipulation tools
Responsibilities
The role focuses on managing SME portfolio risk through tiered segregation, risk identification, and the development of monitoring frameworks. It involves creating data dashboards to track asset quality metrics and leading digital transformation initiatives to automate reporting processes.
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