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VP Credit Risk Portfolio Management

Job description


  • Is an intermediate-level position responsible for approving and managing Commercial Banking risk exposure in Malaysia in coordination with the 1st Line of Defense and Risk Management team.
  • The primary objective of this role is to manage Commercial Banking credit portfolio in accordance with company and regulatory requirements.
  • Work as an Independent Risk Approver focusing on Commercial Banking relationships. Partnering with the sales and analyst team, providing value-added input supporting development of financing solutions within Bank Target Market and Risk Acceptance Criteria and overall Risk Appetite.
  • Work closely with the Malaysia Risk Management team in performing portfolio management tasks including rapid portfolio reviews, stress testing, and governance activities.


  • Degree holder with a minimum 8 years of experience in corporate / commercial bank risk management.
  • Strong analytical skills with ability to process complex information and structure a financing solution.
  • Sound understanding of cash, trade, and derivative products.
  • Good understanding of counterparty risk, market risk and its impact on credit decisions.

How to Apply

To apply, please click "APPLY NOW" or email Rebekah at quoting reference number #263788 - VP Credit Risk Portfolio Management. Data provided is for recruitment purposes only. *LI-IT

Due to the volume of applications received, we regret to inform you that only shortlisted candidates will be notified.

JTK Number: JTKSM 995 | Company Registration Number: 201301019088 (1048918)

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