about the company
Our client is a globally recognized leader in the specialty insurance and financial services sector. With a long-standing presence in the Singapore market, they are known for providing tailored risk solutions to major corporate clients. The organization values professional integrity and fosters a collaborative environment where strategic thinking is at the forefront of their operations.
about the job
In this role, you will be responsible for the assessment and management of financial risks related to credit and performance guarantees. As a subject matter expert, you will evaluate complex business profiles and financial statements to ensure the maintenance of a healthy and profitable portfolio. Your key responsibilities include:
Risk Assessment: Conducting evaluations of the financial stability and creditworthiness of corporate clients to determine appropriate coverage levels.
Portfolio Management: Monitoring a designated book of business to ensure it aligns with profitability targets and risk appetite.
Stakeholder Engagement: Acting as a technical advisor to business development teams and brokers to structure secure financial solutions.
Compliance & Governance: Ensuring all underwriting decisions are technically sound and align with global standards and local regulatory requirements.
Market Analysis: Monitoring economic trends and industry shifts to provide insightful reporting and adjust risk strategies accordingly.
about the manager/team
You will join an established team of risk professionals who value collective expertise and open communication. Reporting to the Head of Risk, you will work alongside other senior specialists in a structure that encourages knowledge sharing. The culture is built on technical excellence, providing the autonomy to manage your portfolio while having access to global resources.
skills and experience required
To be successful in this role, you should possess a strong analytical mindset and a sophisticated understanding of corporate financial health. We are looking for:
Professional Experience: At least 5 years of experience in credit risk assessment, commercial insurance underwriting, or corporate financial analysis.
Technical Proficiency: Advanced skills in analyzing financial statements, balance sheets, and cash flow. Experience with performance bonds, trade credit, or corporate guarantees is highly preferred.
Decision-Making: A proven track record of making sound risk decisions based on objective data and market intelligence.
Communication: Strong interpersonal skills with the ability to articulate complex financial risks to internal and external partners.
Education: A Bachelor’s degree in Finance, Accountancy, Economics, or a related field of study.
To apply online please use the 'apply' function, alternatively you may contact Hazel at +65 93884683. (EA: 94C3609/ R25158773)
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