Santander

Associate, Corporate Credit Risk Management, Asia Pacific (6-month contract)

Posted: 14 hours ago

Job Description

Country: SingaporeTo perform credit risk analysis and monitoring on Asian corporates and multinationals. This includes credit rating analysis, deal analysis, risk approval processing and portfolio monitoring.Key responsibilitiesFinancial data processing and analysis. Spreading clients’ financial information, processing and organization of different sets of internal data related to the credit portfolio. Rating Analysis. To analyse client’s business and financial profile, prepare its corresponding rating, and manage the ratings validation process. Risk Approval. To analyse proposals (new, renewal, modification and waiver) prepared by Front Office and prepare recommendations accordingly. To lead risk approval processes locally and globally. Portfolio Monitoring. Post approval monitoring of the borrowers’ limit utilization and potential credit issue. To recommend and implement appropriate actions accordingly. RequirementsBachelor’s degree in Accounting, Finance or relevant disciplines from a recognized university; Candidate with CPA or CFA qualifications valued. Minimum 5 years of experience in credit analysis and credit proposal preparation covering clients across different segments (MNCs and mid-cap). Candidates with shorter prior experience will be also considered based on soft skills and work attitude. Candidate with experience in ASEAN markets are preferred. Strong financial analytical skill. Presentation and communication skills will be highly valued. Entrepreneurial spirit, ability to work independently, teamwork attitude and flexibility are key soft skills for the post. Sound Excel, Word and PowerPoint skills.

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