Credit Risk & Stress Testing Analyst

OCBC Group

Singapore

On-site

SGD 90,000 - 130,000

Full time

13 days ago
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Benefits offered by this job

Competitive base salary
Flexible benefits
Learning & development opportunities

Job summary

OCBC Group invites you to join our Risk Portfolio Management team focused on transforming credit risk and stress testing environments. You will own end-to-end delivery of major initiatives, from design to implementation, ensuring models meet regulatory and business needs.

The role requires strong analytical skills, collaboration with stakeholders, and a proactive, fast-paced mindset to advance risk analytics across portfolios and markets.

Qualifications

  • Strong analytical and computational skills with knowledge of SQL and Python.
  • Basic understanding of risk management concepts and banking products.
  • Independent, proactive problem-solving mindset and good communication skills.
  • Familiarity with Basel III and IFRS regulations and credit products.
  • Experience in building credit risk models and stress testing.

Responsibilities

  • Own end-to-end delivery of transformational initiatives for credit risk and stress testing applications.
  • Design and implement Credit RWA and stress testing solutions.
  • Assess whether credit risk models are fit for purpose (IRB and ECL for retail/non-retail).
  • Collaborate across portfolio management initiatives and other stakeholders.
  • Conduct research on industry practices and keep methodologies up to date.

Skills

Analytical thinking
Creative problem solving
Stakeholder collaboration
Oral and written communication

Tools

SQL
Python

Job description

OCBC Group invites you to join our Risk Portfolio Management team focused on transforming credit risk and stress testing environments. You will own end-to-end delivery of major initiatives, from design to implementation, ensuring models meet regulatory and business needs.

The role requires strong analytical skills, collaboration with stakeholders, and a proactive, fast-paced mindset to advance risk analytics across portfolios and markets.

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