
Finance & Credit Risk Management Lead
- Singapore
- Permanent
- Full-time
- Lead finance and risk functions, ensuring robust financial controls, accurate reporting, and compliance with regulatory standards.
- Oversee budgeting, forecasting, financial planning, and cash flow management to support growth, profitability, and liquidity objectives.
- Assess creditworthiness of clients and counterparties, set and monitor credit limits, and manage margin policies, calls, and exposures.
- Develop, enhance, and enforce risk management frameworks, policies, and procedures tailored to lending, structured finance, and trading activities.
- Partner with cross-functional teams to provide insights on financial performance, risk exposure, and strategic decision-making.
- Prepare risk reports, support credit risk modelling, scenario analysis, and address client credit/margin queries.
- Implement process improvements and leverage automation to enhance reporting, controls, and operational efficiency.
- Coordinate audits and ensure compliance with statutory and regulatory requirements.
- Minimum of 12 years' experience in finance, credit risk, or senior roles within commodities, trading, or financial services.
- In-depth expertise in structured finance, margin lending, risk assessment, risk modelling, and IFRS/GAAP financial reporting.
- Proven leadership experience managing teams and collaborating effectively with senior stakeholders.
- Exceptional analytical, strategic, and problem-solving skills.