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Citi Group Officer - Structured Credit Real Estate Underwriting- C11 -MUMBAI 
Malaysia, Penang, George Town 
439165967

25.03.2025

Monitor the ongoing compliance of assigned deals with the documented financing terms and conditions, portfolio performance and financial triggers with the aim of identifying and mitigating credit risks. Assist with classification and risk rating processes, decisions and monitoring

Review servicer reports for accuracy, investigate unusual data trends, identify deteriorating asset performance, and keep abreast of industry and market trends and customer-specific events, which may require contributions to quarterly portfolio reviews and liaising on updates to collateral data

Prepare annual credit approval and quarterly memos in a timely manner

Model transactions for risk rating and stress testing purposes

Assist with special projects including stress testing, portfolio concentration analysis, internal audit & reviews, risk rating processes, Credit Policies and Credit Programs across product groups

Assist in reporting of Basel securitization parameters

Maintain organized credit files for credit, regulatory, and compliance purposes and ensuring compliance with WCR policies and processes.

Qualification and Experience

1 to 3 years of credit, portfolio management or structuring experience in a financial institution, rating agency, financial guarantor, or asset management firm; structured credit/securitization experience is a plus

A strong interest in structured products and credit analysis

Strong Microsoft Office skills. Modelling experience is a plus

Oral and written communications skills enabling him or her to effectively interact with internal and external constituents of all levels

Education:

  • Bachelor's degree/University degree or equivalent experience
Risk ManagementCredit Decisions


Time Type:

Full time

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