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Picton Mahoney Asset Management

Toronto, Canada

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Morgan McKinley

London, United Kingdom

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(M6/AM7) Risk Analyst, Credit Risk Modelling & Analytics
Group Risk Management (GRM) builds and drives the Bank's businesses through an integrated risk management approach relying on strong risk analytics to support strategic business decision-making and to create a competitive edge for the Group. Risk Portfolio Management (RPM) comprises a range of functions primarily focused on credit psenortfolio management within OCBC Group. These include: Assess risk & opportunities in the context of risk appetite & macro conditions. Analyse portfolio performance. Identify trends & drivers, draw insights and develop recommendations. Develop and maintain risk measurement & management frameworks, models, policies, processes, systems and infrastructure. These include capabilities such as IRB rating models, s


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