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Credit Risk Analyst (Portfolio & Risk Analytics)

Greenlane Private Ltd.

IslandwidePermanentS$5,000 – S$6,000/mo

Posted 23 Jul 2026

About this role

We are hiring a Credit Risk Analyst on behalf of our client, a leading Chinese bank in Singapore. You will play a key role in monitoring the Bank’s credit portfolio, preparing risk reports, supporting stress testing and IFRS 9 ECL processes, and strengthening the Bank’s credit risk framework. This role offers excellent exposure to portfolio risk management and regulatory risk reporting in a dynamic banking environment. Responsibilities Support the development and enhancement of credit risk policies, frameworks, and governance standards to strengthen risk management. Monitor adherence to internal credit policies and regulatory requirements to ensure compliance. Prepare and deliver regular portfolio risk reports and management information for Senior Management, Risk Committees, Head Office, and regulators. Conduct portfolio analysis to identify concentration risks, emerging trends, early warning signals, and risk indicators for proactive risk mitigation. Support credit portfolio stress testing exercises by performing scenario analysis and preparing regulatory submissions. Assist in IFRS 9 Expected Credit Loss (ECL) calculations, reporting, and model enhancement initiatives to ensure accurate risk measurement. Support climate and environmental risk management activities, including portfolio monitoring and climate risk assessments. Collaborate effectively with stakeholders across Credit, Risk, Finance, Compliance, and Business teams to drive risk-related initiatives. Participate in ad-hoc projects and assignments as delegated by the Head of Credit Risk, contributing to continuous improvement. Required competencies and certifications Bachelor’s Degree in Finance, Banking, Economics, Accountancy, Statistics, Mathematics, or other quantitative disciplines. 2–5 years of experience in Credit Risk, Portfolio Risk, Risk Analytics, Credit Portfolio Management, or Enterprise Risk within a bank or financial institution. Preferred competencies and qualifications Exposure to portfolio reporting, stress testing, IFRS 9 ECL, risk analytics, or regulatory reporting. Experience with SQL, SAS, Python, Power BI, Tableau, or similar analytical tools. Fresh exposure to climate/environmental risk management. Proficient in Microsoft Excel. Good understanding of banking products and credit risk concepts. Strong communication and stakeholder management skills. Ability to work independently and manage multiple priorities. Proactive, responsible, and eager to learn.

What they're looking for

Portfolio and Investment Risk ManagementRisk GovernanceCredit Portfolio ManagementFinancial Economics

About Greenlane Private Ltd.

Industry: Administrative & support servicesWebsite ↗

Frequently asked questions

What does a Credit Risk Analyst (Portfolio & Risk Analytics) at Greenlane Private Ltd. do?

We are hiring a Credit Risk Analyst on behalf of our client, a leading Chinese bank in Singapore. You will play a key role in monitoring the Bank’s credit portfolio, preparing risk reports, supporting stress testing and IFRS 9 ECL processes, and strengthening the Bank’s credit risk framework. This r…

What skills does this Credit Risk Analyst (Portfolio & Risk Analytics) role need?

Key skills for this role include Portfolio and Investment Risk Management, Risk Governance, Credit Portfolio Management, Financial Economics.

How much does a Credit Risk Analyst (Portfolio & Risk Analytics) at Greenlane Private Ltd. pay?

This role lists a salary of S$5,000 – S$6,000 per month.

Is this Credit Risk Analyst (Portfolio & Risk Analytics) role remote, hybrid, or on-site?

The listing is based in Islandwide. Check the posting for remote or hybrid options.

How do I apply for this Credit Risk Analyst (Portfolio & Risk Analytics) role?

You can apply directly on Greenlane Private Ltd.'s careers page. ApplyLah can tailor your résumé and cover letter to this exact role in seconds first.