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Primary Location: Malaysia,Wilayah Persekutuan,Kuala Lumpur
Education: Bachelor's Degree
Job Function: Risk Management
Shift: Day Job
Employee Status: Regular
Travel Time: Yes, 10 % of the Time
Job ID: 18013192
Description: Strategic Intent:
The candidate will be expected to manage the acquisition policies, guidelines and processes to ensure mortgage loans booked are within the Bank's risk appetite framework whilst supporting prudent mortgage portfolio growth. The role includes leading a team of risk analyst to perform its responsibilities and to work closely with business stakeholders including front line business managers and operational departments to execute/implement mortgage policies and guidelines
Ensure acquisition of mortgage loans comply with global and localized credit policies and guidelines as well as US and Malaysian regulatory policies and guidelines
Timely review, recommend and implement required policy/guideline changes to contain/mitigate emerging risk from market and economic conditions
Monitor key performance indicators, ensuring the accuracy of results and develop meaningful insights based on observed performance
Create and deliver insightful presentations to management
Collaborate effectively with cross functional partners across the bank, including product managers, distribution channels, operation departments and collection department, to preserve the portfolio quality and meet business objectives
Perform a variety of ad hoc analyses and support, as needed
Ability to diagnose portfolio performance and identify issues/concerns/opportunities
Ability to influence others through effective communication and subject matter expertise, with a high level of proficiency crafting presentations to support sound, objective-based decision making
Ability to execute and drive projects to completion in a timely manner and work collaboratively with cross-functional parties across the enterprise
Graduate, preferably in Economics, Accounting, Business Administration, Engineering, Computing or Statistics
Minimum of 8 years work experience, preferably in banking/financial service. Experience in risk management would be an added advantage
Strong working knowledge and understanding of analytics tools, preferably in SAS/other database query programs