Risk Manager, Collateral Management (Director)

  • Competitive
  • Singapur, Singapore
  • Festanstellung, Vollzeit
  • Bank of Singapore
  • 24 Nov 17 2017-11-24

Risk Manager, Collateral Management (Director)

At Bank of Singapore, we are constantly on the lookout for exceptional individuals to join our team. We promote a culture of openness, teamwork and fairness. Most importantly, we invest in our people through our programmes that develop them on both professional and personal levels. Besides attractive remuneration packages, we offer non-financial benefits and opportunities to develop your potential within OCBC Group’s global network of subsidiaries and offices. If you have passion, drive and the will to succeed, rise to the challenge today!

  1. Senior Risk Manager in the Collateral Management team
  2. Lead and coordinate with the relevant stakeholders the review and upgrade of the collateral methodology including the documentation, review of the lending parameters/margin requirements and its model implementation in line with industry standards
  3. Identify and mitigate any gaps in current practices, processes and policies
    • Streamline and tighten existing BAU controls and ensure that, at a minimum, market best-practices are observed
    • Perform process reengineering/reviews of processes to improve efficiency/productivity and customer experience
  4. Conduct regular review of marketable securities in which leverage were granted
  5. Promotes collaboration and teamwork with Front Office and other relevant stakeholders to deepen their risk awareness and to assist them in the risk mitigation strategies
  6. Lead the Risk Reporting team. Perform the change re-engineering process to move BAU reports from Excel to QlikView.
  7. Enhance market risk analytics with insights by performing forward looking stress test scenarios to ascertain impact on securities and clients
  8. Provide guidance and support to Senior Management on Collateral Management matters.
  9. Coordinate and collaborate with Group OCBC departments on policies and standards, technology and processes, joint projects and/or initiatives relating to Collateral Management under Market Risk Management.


Qualifications
  • Good and relevant University degree
  • At least 10 years of relevant working experience in private banking industry
  • Good knowledge of private banking products including treasury and structured products, valuation of assets and securities and collateral lending value experience
  • Maturity level and skill/judgment to deal effectively with senior managers
  • Good collaborative and interpersonal skills to interact effectively with other departments
  • Experience in managing teams
  • Strong presentation and communication (verbal and written) skills
  • Strong analytical and quantitative skills
  • Able to multi-task in a competitive environment and have a sense of urgency
Reporting to: Team Lead