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Listed twelve days ago
  • Bachelor's degree or higher in Economics, Finance, Statistics, Engineering
  • 1-3 years of experience in Risk Management, Analytics, Data Science
  • Knowledge of credit risk modeling, IFRS 9 / TFRS 9, statistical modeling
Credit risk modeling and portfolio analytics role developing models and monitoring credit portfolios.
subClassification: Compliance & RiskCompliance & Risk classification: Banking & Financial Services(Banking & Financial Services)
12d ago
Listed eighteen days ago
  • quantitative risk
  • Risk Monitoring
  • SQL, Python, VBA
responsible for developing quantitative tools, risk measurement methodologies, and automation processes support the monitoring and control of risks.
subClassification: Compliance & RiskCompliance & Risk classification: Banking & Financial Services(Banking & Financial Services)
18d ago
Listed twenty nine days ago
  • Monitoring and analyzing portfolio
  • SQL, Power BI, Google G-suit
  • Performance bonus, Unlimited vacation leave, International MBA Scholarships
You will be responsible from the beginning steps of initiating underwriting system, process and policies, monitoring and analyzing portfolio
subClassification: Analysis & ReportingAnalysis & Reporting classification: Banking & Financial Services(Banking & Financial Services)
29d agoExpiring
Listed twenty one days ago
  • Fixed Bonus, Performance Bonus, Provident Fund, Employee loans
  • Near BTS/MRT
  • Training & Development
Engineer Risk Insights Matter and Shape Healthy Credit Portfolio
subClassification: Business/Systems AnalystsBusiness/Systems Analysts classification: Information & Communication Technology(Information & Communication Technology)
21d ago
Listed fourteen days ago
  • Bachelor's or Master's degree in Economics, Finance, Statistics, Engineering
  • Skilled in data analytics and modeling tools related to credit risk management
  • Experience in credit risk management, or in Credit Modeling, Data Analytics
Analyze, develop, and implement credit risk management policy for auto finance.
subClassification: Compliance & RiskCompliance & Risk classification: Banking & Financial Services(Banking & Financial Services)
14d ago
Listed twenty five days ago
Coordinate corporate risk management, internal control, and compliance activities across the organization.
subClassification: Compliance & RiskCompliance & Risk classification: Banking & Financial Services(Banking & Financial Services)
25d agoExpiring
Listed six days ago
  • Analyze corporate key risks, align risks with corporate strategy
  • Prior experience in risk management or the energy business is a plus
  • Performance Bonus, Work 5 days, Life Insurance
Conducting all risk-related issues including identifying and analyzing corporate key risks.
subClassification: Compliance & RiskCompliance & Risk classification: Banking & Financial Services(Banking & Financial Services)
6d ago
Listed ten days ago
Job Description: Develop and implement market risk management measures and procedures to control and monitor market risks. Develop and...
subClassification: TreasuryTreasury classification: Banking & Financial Services(Banking & Financial Services)
10d ago
Listed twenty eight days ago
  • MRT
  • Perfomance Bonus
  • Flexible Benefit
Strong background in credit regulation/policy understanding, portfolio management in credit card or revolving loan product.
subClassification: Compliance & RiskCompliance & Risk classification: Banking & Financial Services(Banking & Financial Services)
28d agoExpiring
Listed one day ago
  • Risk management into business planning
  • Regional Compliance
  • Analysis of key business risks
Strengthen regional risk governance by establishing and maintaining an effective risk management framework across Asia and Oceania.
subClassification: ManagementManagement classification: Accounting(Accounting)
1d ago
Listed fifteen days ago
  • Risk identification & assessment, Credit Risk Monitoring
  • Must have experience in the banking, finance, leasing, and insurance industry
  • Work location near BTS Phahon Yothin 24, Performance bonus, Group insurance etc.
Identifying, assessing, and mitigating key risks, monitoring KRIs and macroeconomic conditions, and ensuring credit risk management.
subClassification: Compliance & RiskCompliance & Risk classification: Banking & Financial Services(Banking & Financial Services)
15d ago
Listed one day ago
  • Support risk governance activities
  • Strong collaboration skills across subsidiaries
  • Have experience in risk management
Support regional risk governance activities across Asia & Oceania, consolidating risk assessment results, monitoring action plans, preparing reports.
subClassification: Audit - InternalAudit - Internal classification: Accounting(Accounting)
1d ago
Listed one day ago
  • Grow your expertise in Risk Management
  • Lead cross-functional risk projects and promote a strong risk culture
  • Drive enterprise-wide risk initiatives and influence key business decisions
To conduct operational risk management function for the life insurance business, covering IT risk and business continuity management (BCM)
subClassification: Compliance & RiskCompliance & Risk classification: Accounting(Accounting)
1d ago
Listed twenty eight days ago
Who we are At EY, we support you in achieving your unique potential both personally and professionally. We give you stretching and rewarding...
subClassification: Corporate Finance & Investment BankingCorporate Finance & Investment Banking classification: Banking & Financial Services(Banking & Financial Services)
28d agoExpiring
Listed twenty five days ago
  • High-Visibility Role
  • Regulatory Engagement
  • Dynamic Work Environment
Implements risk and compliance frameworks, ensures regulatory adherence, mitigates risks, and fosters a strong compliance culture across the bank.
subClassification: Compliance & RiskCompliance & Risk classification: Banking & Financial Services(Banking & Financial Services)
25d agoExpiring
Listed nineteen days ago

This is a Full time job

Bangkok(Hybrid)
฿50,000 – ฿75,000 per month
Balance strong risk control with commercial understanding, communicate with investment and business teams, and help build a disciplined risk culture.
subClassification: Funds ManagementFunds Management classification: Banking & Financial Services(Banking & Financial Services)
19d ago
Listed fourteen days ago
  • Master's degree in Economics, Accounting, Business Administration, Finance
  • 8+ years of experience in credit risk or retail collection management
  • Strong understanding of retail credit risk and collection management
Lead retail lending collection strategy risk management and analytics team.
subClassification: Compliance & RiskCompliance & Risk classification: Banking & Financial Services(Banking & Financial Services)
14d ago
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