Roles and Responsibilities- Manage assigned portfolio- Manage Credit Block and Daily release of Orders -with payment commitment,- Reconciliation between
**Job Scope**To support the Head Operational Risk in establishing risk management strategies and capabilities to optimize the company's risk vs return on
Category: Accounting Vacancy: 1 Industry: Beauty Location: Kuala Lumpur - W.P Kuala Lumpur Education: Bachelor Degree Country: Malaysia Salary Range:
Funding Societies | Modalku is the largest SME digital financing platform in Southeast Asia. We are licensed in Singapore, Indonesia, Thailand, and registered
Position Overview: We are currently seeking a seasoned professional for the role of Senior SAS Viya Analyst with specialized experience in Credit Portfolio
Key Responsibilities: - Risk Acceptance Criteria (RAC) •Develop, review and implement RAC for higher risk sector for Non-Retail Malaysia Operations and
Role Description And PurposeThe candidate will be part of the global sukuk and fixed income investment team based in Kuala Lumpur. The ideal candidate will be
Job Description 6 years above. Senior profile with SAS Viya and Credit Portfolio Management experience. Requirements Primary Skill : Application Management
Credit and Risk Management function is comprised of three teams: Risk Management, Credit and Special Asset Management. We manage the risks arising from the
Key Responsibilities: •To assist SH in development of the appropriate credit risk concentration limits in accordance to the Group's approved risk posture
Key Responsibilities:To perform credit risk review to provide sound analysis to better manage the portfolio risk. Risk identification in respect of the
Credit and Risk Management function is comprised of three teams: Risk Management, Credit and Special Asset Management. We manage the risks arising from the
We are looking for experienced candidates in Accounts Receivables / Collections, with good foundation in stakeholder management, critical thinking & problem
The Role ResponsibilitiesJob RoleLeading the way in International Banking. Standard Chartered Bank supports the people and companies driving investment, trade
About the Department: Excellent opportunity for an experienced credit risk professional to join a high-performing and evolving Risk Portfolio Management
Grow your career with usHere at Averis, our common purpose is to improve lives by developing resources sustainably.Our people are crucial in helping us to
Tune Protect strives to be the go-to insurtech for millennials and Gen Z. We are listed on the main market of Bursa Malaysia since 2013 where our main business
**Job details**:Posted 05 February 2024SalaryNegotiableLocationPetaling JayaJob type PermanentDisciplineFinance & AccountingReference270720_1707123566**About
Analyst, Risk and Controls Group**Job Summary**The incumbent reports to Manager, Risk and Controls Group.**Control Testing & Program Management**- Demonstrate
Job Description ABOUT YOUR ROLE You will manage the customer claims on quality issues from customers and will also be responsible for managing of claim