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Credit Data Infrastructure Analyst, Group Credit Analytics, Risk Portfolio Management
Risk Portfolio Management comprises of a broad range of functions primarily focused on credit portfolio management across banking subsidiaries within OCBC Group. These include: Assessing the risk and opportunities in the Bank's key markets and asset classes in the context of the Bank's risk appetite and against economic, structural and cyclical conditions. Determining the risk and opportunities in the Bank's key markets and asset classes in the context of the Bank's risk appetite and against economic, structural and cyclical conditions. Analysing and measuring credit and financial performance of the portfolio from multiple perspectives, including legal entity, business unit, customer segment, product, industry, geography. Identifying tr
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