รายละเอียดโฆษณา
ที่ตั้ง:
คำอธิบาย
title:
to assess and manage portfolio risks by reviewing and/or revising existing crdeit polciies/processes, and formulating new policies/processes.
provide comprehensive information and key risk indicators:- portfolio distribution, vintage analysis, ttd quality and portfolio performance by various segments to improve portfolio quality.develop and manage new test programs to grow the business, while allowing testing of alternate ways of growing business.credit risk policy manager
location: tha-bangkok
analysis, credit bulletin, reivew existing policies and procdeures and to implement changes to improve productivity and efficiency and to ensure that proper controls are in place, including product program, development and prepaartion of risk policies and procedures, bcppm.econmoics, engineering, math or any reltaed filed,
credit authroity review to brnach manager/officers which is based on their performance that they're done on soft & final credit decision
support on risk initiatives and regional request
other related regarding risk management and control
master degree or higher in mba.
at least 5 years experiences credit risk management or financial/ banking business
strong analytical and quantitative skills
excellent computer skills and programming (sas/sql is preferable). analysis and development of mis, in order to support portfolio risk management, and to generate and analyze mis.
good command in both written and spoken english
dedicated and focuses, able to prioritize and complete multiple tasks and follow through to achieve project goals
fast leaner and good attitudes.


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