Credit Risk Jobs in Kuala Lumpur
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Search Results - Credit Risk Jobs in Kuala Lumpur
AFFIN Group-Kuala Lumpur
Vice President, Treasury Credit Risk
Apply Locations
Menara Affin, TRX
Job Purpose
To manage and oversee credit risk exposure from market-traded instruments, ensuring proper risk assessment, monitoring, and mitigation. This role involves direct...
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Cognizant-Kuala Lumpur
on credit risk will be an advantage
5. Availability to work flexible hours to cater for different time zones
6. Business and data analysis in support of various application and project requirements
7. Assist developers with the implementation of data...
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Businesslist-Kuala Lumpur
Responsibilities
• Develop and implement global credit risk management strategies and policies
• Identify, evaluate, and manage financial risks
• Maintain strong client relationships and manage credit exposure
• Ensure compliance with internal...
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Sumitomo Mitsui Financial Group Inc.-Kuala Lumpur
the overall functions of Credit Compliance & Planning (CCP) Section and providing timely reporting on credit risk portfolio and exposure to management, board and regulator.
Ensuring adequate and proper credit policies, procedures and supporting mechanisms...
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Ably Digital-Kuala Lumpur
About the Role
We are seeking an experienced Credit Risk Modeller to join our Risk team. In this role, you will be responsible for developing and maintaining credit risk models that support our risk management framework and regulatory compliance...
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Funding Societies Group-Kuala Lumpur
Portfolio Risk. As a Portfolio Risk Manager, you will be responsible for overseeing the credit management function of our lending portfolio. You will work closely with cross-functional teams, including credit analysts, underwriters, and senior management...
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AmBank-Kuala Lumpur
for the credit committee.
Liaise with market risk, treasury operations, trustees, and auditors on a regular basis.
Engagement with industry peers and issuers at investors' presentations & analysts’ briefings to solicit information.
Identify potential credit risks...
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Funding Societies Group-Kuala Lumpur
As a Portfolio Risk Manager, you will be responsible for the reporting aspects of our lending portfolio. You will work closely with cross-functional teams, including credit analysts, underwriters, and senior management, to develop and implement effective risk...
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Cognizant Malaysia-Kuala Lumpur
research into new methodologies
• Qualifications in actuarial studies, finance, engineering, and/or related discipline
• Experience in a quantitative analyst position within financial services and/or within an analytical position focusing on credit risk...
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Hager & North Investment Funds Ltd-Kuala Lumpur
testing.
Complete mandatory trainings.
Contribute to ad-hoc assignments/special projects.
Job Skills
Business Statistics, Credit Analysis, Decision Making, Investment Risk Management, Operational Risks, Quantitative Methods, Risk Control, Risk Management...
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American Express-Kuala Lumpur
is related to unauthorized use or actual credit problem.
• Effective use of support/info codes to identify high risk accounts and enable the system to pick up identified accounts.
• Sharing of information and reports in partnership with business partners...
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AIA Hong Kong and Macau-Kuala Lumpur
Investment teams within Fixed Income.
• Analyze dynamic credit situations and develop investment thesis and trade ideas.
• Supervise credit risk of existing holdings across various portfolios to assess continued exposure and develop robust risk mitigation...
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Hong Leong Bank Berhad-Kuala Lumpur
The Independent Credit Review Manager is responsible for ensuring that post-approval independent credit review is performed as required under Bank Negara Malaysia’s “Credit Risk” regulatory guideline, which includes performing in-depth analysis...
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Myboost-Kuala Lumpur
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Be a part of the Credit Risk team to perform credit underwriting and identify potential credit risk in applications from micro and SME...
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Deloitte Regional Services Center Sdn. Bhd.-Kuala Lumpur
Develop, maintain, and calibrate existing quantitative risk models, including provisioning models and credit scoring tailored to various portfolio types and financial institutions.
• Perform both conceptual and quantitative reviews of models...
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