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Assistant Vice President - Credit Underwriting & Counterparty Credit Risk Management - SMBC

Job Description - Assistant Vice President - Credit Underwriting & Counterparty Credit Risk Management - SMBC

Credit Underwriting & Counterparty Credit Risk Management

Role Overview

The Assistant Vice President (AVP) will support the execution of credit risk management activities, with a focus on underwriting and counterparty credit risk for Capital Markets and Global Markets businesses in APAC (ex-Japan).

The role is primarily execution-focused, supporting senior team members, including the Executive Director (ED), in governance, reporting, analytics, and stakeholder coordination.

Key Responsibilities

1. Risk Frameworks & Governance (Support Role)
  • Support the implementation and execution of established risk governance and control frameworks.
  • Assist in maintaining and updating risk management documentation (policies, procedures, and guidelines).
  • Prepare and compile materials for risk reporting and governance-related requirements under guidance from senior team members.
  • Support ongoing monitoring of adherence to internal policies and frameworks.
2. Data Analysis & Reporting
  • Support data collection and consolidation across credit, market, and macroeconomic areas.
  • Perform data analysis to identify basic trends, exposures, and potential risk areas, with guidance from senior team members.
  • Prepare regular and ad-hoc reports for internal stakeholders, ensuring accuracy and timeliness.
  • Assist in the preparation of portfolio reviews and presentations for senior management.
3. Risk Committees & Reporting Support
  • Support the preparation of materials for Risk Committees, including drafting presentation materials, managing documentation, and taking meeting minutes.
  • Track and follow up on action items and deliverables arising from committee discussions.
  • Ensure timely coordination of reporting requirements across teams.
4. Stakeholder Coordination & Project Support
  • Support coordination of discussions with internal stakeholders across APAC and Head Office (Tokyo), under guidance from senior team members.
  • Assist in ongoing risk initiatives and projects, including information gathering and documentation.
  • Work closely with various internal functions such as Front Office, Risk Management, Finance, and Compliance.
5. Additional Responsibilities
  • Contribute to improvements in reporting processes and data management practices.
  • Support regulatory, audit, and internal review requirements as needed.
  • Perform other ad-hoc tasks assigned by senior management.
Key Competencies
  • Basic understanding of credit risk and counterparty risk concepts.
  • Familiarity with financial markets products is advantageous but not required.
  • Strong analytical and problem-solving skills.
  • Good communication skills and stakeholder management ability.
  • Ability to manage multiple tasks and meet deadlines.
Job Requirements
  • Bachelor's or Master's degree in Finance, Economics, or related field.
  • Minimum 3+ years of experience in a financial institution.
  • Exposure to credit risk or financial markets is desirable but not mandatory.
  • Strong proficiency in MS Office.
  • Fluent in written and spoken English.
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