Career
Credit & Risk Team
2. Portfolio & Risk Manager
Own the risk monitoring and portfolio optimization engine for the fund. Set guidelines, review exposures and ensure compliance.
Singapore
Full time

Responsibilities:
Monitor active deals, repayments, delinquencies.
Run portfolio analytics and scenario testing.
Interface with legal and compliance.
Requirements:
5+ years in portfolio/risk in private debt or NBFCs.
Quantitative mindset, good with data tools.