credit Risk Management - Manager
บริษัท มีที่ มีเงิน จำกัดRoles and Responsibilities:
• Develop and apply credit risk methodologies including ECL under TFRS9,and Basel II/III PD/LGD/EAD models etc.
• Monitor and enhance ECL model (PD, EAD and LGD models) for Portfolio.
• Manage and forecast risk cost to reflect portfolio risk level and support the Finance Team.
• Assist in the design, development, and maintenance of complicated portfolio forecasting models
• Engage stakeholders during model development and review. Seek feedback, check accuracy, ensure buy-in and appropriate use of models.
• Preparing the info/deck/co-present the committee i.e. Internal Stakeholder meeting and Other ad-hoc
• Setup / develop and monitor early warning detection to enhance and protect potential risk.
• Determine appropriate actions to be taken with high risk (watch list and lead all coordinated stakeholders to mitigate potential risks.
• Monitor all risk events against the Company's established Risk Appetite, Limits & Thresholds and to work with Issue Owner/ Risk Owner in taking proactive measures to prevent any breaches.
• Recommend Problem loan management Policies ie., General / Troubled Debt Restructure and Charge off / Write off.
Qualifications:
• Bachelor’s Degree or higher in MBA, Finance, Statistics, Engineer, Economics, or any related fields.
• At least 5 years experience up to credit Risk management in Banking, or finance Business
• Analytical mindset with excellent critical thinking ability and data analytics skills.
• Excellent computer skills and programming tools such as R, Python, SAS and SQL
• Good command in both written and spoken English.
• Prior experience in a digital leading or fin-tech start-up is a plus
- กองทุนสำรองเลี้ยงชีพ
- การฝึกอบรมและพัฒนาพนักงาน
- ค่าทำงานล่วงเวลา
- ค่าน้ำมันรถ, ค่าเดินทาง
- ทำงานสัปดาห์ละ 5 วัน
- ประกันสังคม
- ประกันสุขภาพ
- ประกันอุบัติเหตุ
- เครื่องแบบพนักงาน, ชุดยูนิฟอร์ม
- เที่ยวประจำปี หรือเลี้ยงประจำปี
- โบนัสตามผลงาน/ผลประกอบการ
- โบนัสประจำปี
https://www.meetee.co.th/