Credit & Portfolio Risk Manager


Company Type

Job Scope:
  • Directly report to the Country Risk Manager. Stand in as CRM delegate in Senior Management meetings from time to time as required.
  • Manage Risk related to the Bank Cards and Ready Credit portfolio across the full credit life-cycle.  Monitor credit performance and adherence to Global Policy.
  • Provide leadership to a highly talented team of analysts responsible for developing and implementing world-class acquisitions and customer management strategies.
  • Partner with the Risk Collections team to ensure proper treatment of delinquent accounts.  
  • Partner with Credit Operations to continuously improve the underwriting / customer on-boarding process.
  • Manage changes to all required credit system modifications as needed.
  • Participate in weekly/monthly meetings with the Sales and Product teams to ensure full strategic coordination between Risk and key stakeholders.

  • Master’s Degree or MBA with a quantitative background (Engineering, Economics, Math, Statistic).
  • Minimum 10+ years’ experience in Risk Management with direct experience managing unsecured credit.
  • Strong analytical and quantitative skills.  
  • Strong English language communication skills, both written and verbal.
  • Strong interpersonal skills with the ability to understand/accept and incorporate multiple perspectives in the decision making process. 
  • Demonstrated ability to manage senior management communications and provide effective challenge when required.
  • Demonstrated ability to manage/motivate a direct team as well as the ability to influence without direct control.
  • Demonstrated ability to focus on priorities and deliver results within set timelines.

APAC-Thailand APAC-THA-10-Bangkok Risk Management Full-time Master's Degree Day Job Regular No

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Confirmed 8 hours ago. Posted 30+ days ago.

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