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Risk and Performance Management Department The Risk and Performance Management Department is responsible for the independent assessment, measurement, monitoring and reporting of GIC's market, credit and operational risk profiles.
We are looking for a dynamic, self-motivated and confident individual who is committed to developing a career in Credit Risk Management. This team is responsible for managing the credit risk of GIC's trading counterparties, clearing houses and investment-related service providers such as custodians, nostro agents, clearing brokers, prime brokers and securities lending agents.
Manage the credit approval process and recommend appropriate credit limits and risk mitigation measures for counterparties and service providers in accordance with GIC's credit risk guidelines
Undertake proactive risk management and perform periodic credit reviews of approved counterparties and service providers
Manage day-to-day matters arising from the counterparty / service provider on-boarding process and monitor compliance of approved credit limits, guidelines and restrictions
Analyze and report credit exposures of counterparties and service providers to senior management, risk governance committees and clients
Participate in ad hoc projects and initiatives Requirements
A good degree in Finance, Business, Accountancy, or related fields of study
At least 2 years of working experience in the finance industry with focus on credit risk management and / or counterparty credit analysis
Strong analytical skills with sound knowledge of financial instruments and their credit risk
Good understanding of credit risk management and mitigation practices as well as issues and developments affecting the finance industry
Team player, excellent interpersonal and communication skills, results-oriented and ability to adapt
Proficiency in Structured Query Language and / or possess working knowledge of Tableau will be an added advantage.