Prepare and submit credit risk related reports, including regulatory, e.g. MAS and internal reporting.
Collect and accurately input data, while maintaining traceability of data elements from source to report, continuously ensuring data quality is maintained and improved.
Lead process improvements and data maintenance to enhance reporting efficiency, including review and update procedures and manuals.
Support and back up model risk management activities, including model validation for in-scope models within the APAC region.
Facilitate communication among various departments concerning data governance, model governance issues.
Requirements :
Degree or equivalent, with experience in financial institutions, specifically in Data Governance, especially BCBS 239 and Model Governance.
Good communication and interpersonal skills, with a strong sense of ownership of outcomes.
Meticulous and detail-oriented, capable of managing multiple projects under tight deadlines.
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