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Executive / Senior Executive, Risk Management

Executive / Senior Executive, Risk Management

Malaysia Debt Ventures BerhadKulai, Johor, Malaysia
30+ hari lalu
Penerangan pekerjaan

For those who are looking to explore a new career path and ready for a challenge, take this opportunity to excel yourself with MDV.

No. of vacancies : 1

Job Description :

  • Evaluate and analyse a company’s financial position, competitive position within its industry, strategic direction, management quality, project management capability, cash flow assessment and other relevant areas on all complex financing / loan applications independently to determine the level of potential risk.
  • Conduct market research to obtain all relevant data and information to assist in evaluating the company’s financial capability.
  • Evaluate and analyse post-approved financing / loan applications independently to determine the level of potential risk.
  • Prepare risk assessment paper, which highlights potential risks, and highlighting any going concern issues to be submitted to the manager for review.
  • Conduct and review the Post Approval Credit / Compliance Review (“PACR”) on sampling basis to ensure compliance with all of MDV’s policies, guidelines, framework and the conditions imposed for credit underwriting.
  • Conduct and review the Post Disbursement Review (“PDR”) on sampling basis for the first disbursement to ensure compliance with all of MDV’s conditions imposed for disbursements.
  • Conduct and review the Post-Mortem Review (“PMR”) for underwriting, disbursements and monitoring activities in relation to the non-performing financings and determine possible causes of credit deterioration.
  • Propose practical and value-added recommendations to address the control weaknesses and / or process inefficiencies.
  • Prepare quarterly report for Risk Management Committee (“RMC”) and Board Risk Management Committee (“BRMC”).
  • Review and update divisions / department policies to ensure it reflects current changes and market best practice.

Requirements :

  • Bachelor’s degree in Finance, Accounting, Business Administration, Economics, or equivalent (e.g., ACCA, ICAEW, MICPA-CAANZ, CPA).
  • Minimum 2 years of experience in credit analysis, evaluation, and financing portfolio management within a financial institution or related regulatory environment.
  • Knowledge in credit risk assessment, portfolio analysis, and financial risk management practices.
  • Excellent communication, presentation, and report-writing skills in both English and Bahasa Malaysia.
  • Benefits include : connectivity benefit, annual leave 21 days, study and exam leave 10 days, compassionate leave 10 days, marriage leave 5 days, maternity benefit, outpatient and hospitalization for self and immediate family, gratuity benefit for Raya, Chinese New Year, Deepavali, Christmas and Merdeka, and hybrid working arrangement.
  • We are an equal opportunities employer and welcome applications from qualified candidates.

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