Director, Portfolio Analytics, Group Credit Risk Management

Affin Bank Berhad

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Menara Affin, TRX Until 9/20/2026 10+ years exp First posted July 22, 2026 Last posted July 22, 2026
Job description

Create the future with Affin! ​​You too can make a difference.

We continuously innovate to transform our financial services landscape - making banking better and easier. Join us at AFFIN, where the open minds meet and be inspired by a shared commitment to great work. You too can make a difference.

JOB PURPOSE

  • Primary responsibility for managing the credit portfolio and overseeing risk analytics reporting across the group, including Affin Bank Berhad, Affin Islamic Bank Berhad, and Affin Hwang Investment Bank Berhad.


JOB ACCOUNTABILITIES

  • Prepare, review, analyze, monitor and report all credit risk positions and credit risk profile on AFFIN Banking Group (ABG) to the Committees.

  • Monitor and highlight on Bank performance and lending direction as well as compliance with regulatory and internal tolerance limits.

  • Continuously assess, develop and enhance credit risk report for identifying, monitoring and reporting to respective Committees on timely basis.

  • Continuously monitor data integrity in banking systems and ensure reliability for effective control and management of risk exposure.

  • Stress testing of credit risk portfolio in line with BNM and ICAAP requirements.

  • Monitoring and analysis of loan portfolio and asset quality; and highlight risk issues/emerging risk concerns for resolution.

  • Other Ad-Hoc tasks assigned by the immediate superior/Head, Group Credit Risk Management/Group Chief Risk Officer (GCRO).

JOB REQUIREMENTS

  • Bachelor’s Degree in Finance, Statistics, Accounting or related discipline.

  • At least 10 years working experience in banking and risk management. 

  • Relevant technical expertise in data analytics and programming tools (e.g., SAS, R, Python) and dashboard development/presentation tools.

  • Professional credit certification such as CCP/CCE or any relevant certification is an added advantage.

  • Good exposure in banking & risk management environment.

  • Analytical and self-starter.

  • Inclination – with numbers and ability to analyze in depth.

  • Sound knowledge of credit policies and procedures.

  • Ability to work under pressure to meet deadlines.

  • Ability to interact with all levels of people.

  • Familiar with BNM’s credit policy & procedures, compliance and regulatory requirements.

About this role

Summary

Manage credit portfolio, oversee risk analytics, report to committees, ensure data integrity, monitor asset quality.

Job title

Director, Portfolio Analytics, Group Credit Risk Management

Experience level

10+ years

Minimum experience

10+ years exp

Industry

finance

Location requirements

Menara Affin, TRX, onsite, no remote work allowed.

Salary

Not specified

Management role

No

Skills & keywords

Required skills

SASRPythondashboard developmentcredit policies

Preferred skills

CCPCCEregulatory compliance

Specializations

credit riskdata analyticsrisk reportingstress testingbanking
Locations

Structured locations inferred from the posting.

Unknown location

On-site