Credit Risk Analyst (Banking|Portfolio & Risk Reporting)

Job Summary

Support credit risk management by maintaining policies, preparing risk reports, monitoring portfolio trends, and assisting in regulatory and stress testing exercises within a financial institution.

Responsibilities

  • Maintain and update credit risk policies and frameworks to ensure compliance and effectiveness
  • Prepare detailed portfolio risk reports for management and Head Office to inform decision-making
  • Monitor portfolio trends to identify early warning signals and risk concentrations for proactive risk management
  • Support stress testing and regulatory reporting exercises to meet compliance requirements
  • Assist in Expected Credit Loss (ECL) calculation and provisioning processes to ensure accurate financial reporting
  • Participate in risk-related projects, including climate and environmental risk initiatives, to enhance risk management practices
  • Communicate effectively with stakeholders across multiple departments to facilitate risk management activities
  • Manage multiple priorities independently while maintaining high attention to detail and strong risk awareness