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Job Responsibility
A. Strategic Leadership & Vision Setting
- Define the long-term roadmap for credit risk management, covering:
- Continuously scan global best practices, fintech trends, and regulatory developments
- Introduce innovative methodologies, frameworks, and tools to the organization
- Translate abstract ideas into implementable systems
B. Oversight of IFRS 9, ECL & Risk Components
- Set overall direction for:
- Review and approve major methodological changes
- Ensure compliance with BOT, IFRS, and group standards
- Guide automation strategy for ECL and provisioning processes
- Act as the final escalation point for ECL governance matters
C. Oversight of Application Scoring & Risk Frameworks
- Define model governance principles and cooperate with related teams to enhance acquisition criteria
- Approve AS model redevelopment, recalibration, and major variable changes
- Design enterprise-level risk contingency frameworks
- Ensure scoring logic remains aligned with evolving customer behavior and business objectives.
- Guide liquidity risk monitoring direction
D. Oversight of Behavioral Scoring, Analytics & Reporting
- Define the overall architecture of behavioral risk intelligence
- Oversee BS model redevelopment and segmentation logic
- Approve enterprise-level reporting structures
- Ensure dashboards and reports drive real decisions, not just visibility
- Push development of multi-dimensional and real-time analytics
E. Innovation & Continuous Improvement
- Identify new risk dimensions not currently captured by existing frameworks
- Experiment with new analytics approaches
- Pilot test new concepts before full deployment
- Institutionalize successful pilots into standard operations
F. Talent Development & Capability Building
- Design the team's capability roadmap
- Develop senior managers into future leaders
- Coach managers to translate strategy into execution
- Create a culture of curiosity, learning, and ownership
- Ensure knowledge transfer and documentation discipline
G. Governance & Stakeholder Management
- Act as the main contact point for:
- Represent the team at executive forums
- Resolve cross-functional conflicts involving risk trade-offs
- Own the risk narrative of the company
H. Executive Communication & Decision Support
- Translate complex analytics into clear executive narratives
- Present strategic risk insights to senior management
- Propose risk-informed business strategies
- Support board-level and HQ-level discussions
Job Qualification
- Bachelor's or Master's degree in Finance, Economics, Statistics, Mathematics, Data Science, Engineering, or related fields
- 10+ years of experience in Financial Institutions with career of:
- Prior experience as team head is required
- Experience working with External, auditors, shareholders or regulators is preferred
- Strong understanding of:
- Familiarity with:
- Strategic & Business Acumen
Deep understanding of Credit Cost framework aligned with overall profit structure
Job ID: 141483013