Manager, Middle Market Portfolio Management & Analytics

OCBC Malaysia, Menara OCBC Until 8/22/2026 3+ years exp First posted May 14, 2026 Last posted May 14, 2026
Job description

WHO WE ARE:

As Singapore’s longest established bank, we have been dedicated to enabling individuals and businesses to achieve their aspirations since 1932. How? By taking the time to truly understand people. From there, we provide support, services, solutions, and career paths that meet their individual needs and desires.

 Today, we’re on a journey of transformation. Leveraging technology and creativity to become a future-ready learning organisation. But for all that change, our strategic ambition is consistently clear and bold, which is to be Asia’s leading financial services partner for a sustainable future.

 We invite you to build the bank of the future. Innovate the way we deliver financial services. Work in friendly, supportive teams. Build lasting value in your community. Help people grow their assets, business, and investments. Take your learning as far as you can. Or simply enjoy a vibrant, future-ready career.

Your Opportunity Starts Here.

We are looking for a dynamic and analytical professional to join our Middle Market Business & Portfolio Management team. This role plays a key part in monitoring portfolio performance, generating insights, and supporting strategic decision-making.

Key Responsibilities

  • Monitor and analyze the performance of the commercial loan portfolio, including asset quality, growth trends, and sector exposure.
  • Identify early warning signals (e.g., delinquency trends, credit deterioration) and support risk mitigation actions.
  • Prepare and enhance portfolio dashboards, MIS reports, and management presentations.
  • Perform data analysis on NPLs, credit migration, profitability, and concentration risks.
  • Support stress testing, scenario analysis, and portfolio forecasting.
  • Partner closely with Business (RMs), Credit Risk, and Finance teams to drive portfolio insights and performance.
  • Ensure data accuracy, reporting consistency, and compliance with internal policies and regulatory requirements.
  • Contribute to process improvements and automation initiatives (e.g., Power BI, Excel, data tools).

Requirements

  • Bachelor’s degree in Finance, Economics, Business, or related field.
  • 3–6 years of experience in commercial banking, credit risk, or portfolio analytics.
  • Strong analytical mindset with good understanding of loan portfolio metrics (NPL, delinquency, etc.).
  • Proficient in Excel; experience with Power BI, SQL, or data visualization tools is an advantage.
  • Good communication skills with ability to translate data into actionable insights.
  • Detail-oriented, proactive, and able to work in a fast-paced environment.

Why Join Us

  • Exposure to portfolio-level strategy and decision-making
  • Strong learning opportunities in risk and analytics
  • Collaborative and supportive team environment

What we offer:


Competitive base salary. A suite of holistic, flexible benefits to suit every lifestyle. Community initiatives. Industry-leading learning and professional development opportunities. Your wellbeing, growth and aspirations are every bit as cared for as the needs of our customers.

About this role

Summary

Monitor and analyze commercial loan portfolios to support decision-making and risk management

Job title

Manager, Middle Market Portfolio Management & Analytics

Experience level

3-6 years

Minimum experience

3+ years exp

Industry

finance

Location requirements

Malaysia, remote work not specified

Salary

Not specified

Management role

No

Skills & keywords

Required skills

ExcelPower BISQLcredit riskportfolio analytics

Preferred skills

data visualizationautomationscenario analysis

Specializations

credit riskportfolio analysisdata visualizationloan performancerisk mitigation
Locations

Structured locations inferred from the posting.

Malaysia

Work arrangement unknown Country