Manager, Portfolio Risk Reporting & Analytics

Maybank · Singapore, Singapore, Singapore

Location
Singapore
Job Type
Permanent
Posted
July 03, 2026

Job Description

Lead the credit portfolio risk reporting and analytics capability for Singapore. Responsible for governance portfolio reviews, portfolio risk reporting, risk movement analysis, ad hoc reviews, borrower vulnerability assessments, financial projections, dashboard development and reporting automation.-Degree in Finance, Economics, Statistics or related field. -Strong credit risk knowledge. -Advanced Excel, SQL, Power BI and Python preferred. -Strong communication and presentation skills, with proven experience in cross-sector collaboration and the ability to work effectively with stakeholders across different business units and functional teams.-Produce regular committee portfolio reviews, explain key risk trends and movements, monitor concentrations and asset quality.
-Conduct portfolio deep-dives and ad hoc reviews across sectors, products and segments.
-Develop financial projections and sensitivity analysis for higher-risk borrowers and sectors.
-Integrate climate risk trends ...

Ready to Apply?

Submit your application for Manager, Portfolio Risk Reporting & Analytics at Maybank

Apply Now