Credit Risk Manager - Team Lead

Charterhouse Partnership | Asia
Singapore, SG
On-site

Job Description

A growing digital bank is currently hiring an experienced Credit Risk Team Lead in Singapore. Backed by a financially strong parent group and experienced leaders, this is an fantastic opportunity for the right individual to grow his/her career. No work visa sponsorship is provided!

  • Bachelor’s degree or above from a recognised University
  • 15 to 20 years of full-time professional experience in credit risk management, experience in Small Medium Enterprises portfolio preferred
  • People management experience

Responsibilities:-

  • Lead credit risk management for Corporate, Institutional and Small Medium Enterprises across regional markets, ensuring alignment with Group risk appetite and standards.
  • Develop, implement and maintain credit risk policies, frameworks, and underwriting standards

appropriate for diverse regulatory environments across the region.

  • Assess and approve complex and large credit proposals, ensuring appropriate structuring,

collateralization, and sectoral risk mitigation.

  • Monitor portfolio performance and concentration risks across industries and geographies,

conducting regular stress tests and scenario analyses.

  • Ensure compliance with regional regulatory requirements while maintaining consistency with

Group-wide risk governance and Basel standards.

  • Provide consolidated reporting and insights on portfolio trends, risk drivers, and early warning

signals to regional senior management and Group committees.

  • Collaborate with business teams across countries to balance growth opportunities with prudent credit discipline, driving consistency in credit decision-making.
  • Contribute to the enhancement of internal rating models, sector risk frameworks, and credit risk systems to reflect regional market conditions.
  • Mentor and guide in-country risk professionals, promoting knowledge sharing and capability

development across markets.

Requirements:-

  • Bachelor’s degree in any quantitative field: Finance, Economics, Accounting, or related discipline;
  • Postgraduate qualifications or certifications (CFA, FRM, CPA) preferred.
  • At least 8 years of experience in banking credit risk management, with strong exposure to

Small Medium Enterprise clients.

  • Proven expertise in credit analysis, financial modeling, and portfolio risk management across

multiple industries.

  • Strong understanding of regional regulatory environments and cross-border credit risk

governance, as well as Basel III/IV and IFRS 9 standards.

  • Experience in managing regional or multi-jurisdictional credit portfolios, with ability to navigate varying market conditions and regulations.
  • Demonstrated ability to engage with senior management, experience working with MAS and business partners across different countries.
  • Well verse in risk management systems and analytical tools; familiarity with SQL, Python, or SAS is an advantage.
  • Strong leadership skills with experience in developing and mentoring teams across multiple

markets.

  • High integrity, critical thinking, and strategic judgment in balancing business growth with sound risk management.

Skills & Requirements

Technical Skills

Credit risk managementFinancial modelingSqlPythonSasLeadershipCommunicationCfaFrmCpaFinanceHealthcare

Employment Type

FULL TIME

Level

manager

Posted

5/6/2026

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