Citi Loker Remedial Management Senior Manager Desember 2015

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Remedial Management Senior Manager Citi

Citi memberikan persyaratan, ketentuan dan spesifikasi pekerjaan sebagai Remedial Management Senior Manager yang akan ditempatkan di Jakarta

Dibawah ini rincian lengkap persyaratan, spesifikasi lowongan pekerjaan, jadwal wawancara dan alamat serta kontak (email / nomor telepon) perusahaan pembuka Lowongan.


Company
Citi
Location
Jakarta
City
Jakarta
State
JK
Country
ID
Dibuka
Tue, 27 Oct 2015 12:24:03 GMT

Job Description

Description

Developing and implementing workout (recovery) strategies that are intended to either minimize the risks or maximize returns on delinquency and classifiably managed commercial transactions originated by the Business for the purpose of restructuring, stabilizing, or exiting managed accounts

Loan products include complex transactions including structured trade facilities, facilities backed by Real Estate collateral, term and syndicated loans where Citi is either the Agent or participant, transactions tagged as leverage finance; or situations involving potential fraudulent activities and/or franchise risk deemed to negatively impact Citis enterprise value within the community or on a national level

Subject Matter Expert in problem recognition, again working with in-country risk and frontline teams to develop and enhance effective early warning and problem recognition tools as well as provide an independent assessment of large criticized credits

Manage Special Mention exposures in situations that dictate Remedial Management involvement e.g., identified Red Zone/Exit names

Be a partner to the Business, In Business and Risk counterparts to enhance problem recognition through coaching and training

Develop and revisit policies and procedures as the regulatory landscape evolves

Managing assigned portfolio within acceptable risk parameters, designing and implementing remedial strategies

Working, interacting and negotiating with internal and external customers, legal, finance, accounting, compliance and external counterparties as necessary

Evaluating collateral and documentation to determine appropriate remedial/ recovery strategy

Developing and presenting action plans for assigned portfolio to senior management Reviewing (and approving) accounts on a monthly basis to gauge the level of progress achieved versus stated action plan, payment status (delinquency), documentation exceptions, annual reviews and regular classified credit reports, financial covenants, data integrity, and any other internal or external follow-ups that arise during the course of time

Responsible for Cost of Credit forecasting, high risk exposures subject to FAS 114 assessment and calculation reporting; write off recommendations; Enterprise Valuation (EV) working in tandem with EV specialist team

Conduct Special Mention Assessments for the criticized portfolio that qualifies/ requires Assessments to be completed per CCB Credit Policy

Contribute to and participate in High Risk Reviews, portfolio stress testing requirements, regular country portfolio reviews discussing Pass Watch list relationships

Work with risk and business teams to enhance problem recognition through training and coaching to address/ entrench: Double Jumps, Lessons Learned, Effective Classification Triggers, etc.

Keep abreast of developments in the distressed debt, restructuring and insolvency industry. Active networking with insolvency and legal professionals

Ensure appropriate recognition and recording of OREO/ DPC/ GDRS, etc.Qualifications

Bachelors degree with 10+ years of Banking experience, with tenure in risk and/ or remedial capacities

Masters or professional accounting qualification will be an added advantage

Proficient in the adverse classification process and documenting an appropriate action plan for identified troubled, stressed, or distressed loans

Experienced in credit analysis, remedial management, and bank group management

Proficient in identifying remedial management resources needed to assist in restructuring classified exposures

Proficient in valuation analysis in the review and interpretation of assessments focused on collateral support including real estate appraisals

Excellent strategic and implementation skills

Paramount communication skills with ability to synthesize the argument in a logical and rational manner

Strong and effective negotiation and presentation skills

Understands and has ability to articulate alternative transactions (pros/cons); identifies the related market, credit, operational, and legal/regulatory risks associated with the specific transaction/ borrower/ portfolio/ market

Ability to work well under pressure in an ever-changing environment

Fluent in English and Bahasa IndonesiaPrimary Location: Indonesia,Jawa,JakartaOther Location: Asia Pacific, Europe, Middle East, and Africa; CanadaEducation: Associate’s Degree/College DiplomaJob Function: Risk ManagementTravel Time: Yes, 10 % of the TimeJob ID: 15078646

Untuk mengirimkan lamaran ini secara online, silakan klik pada link bertuliskan Apply Click Here atau Apply This Job di bagian bawah info lowongan ini. Semoga Anda mendapatkan karir impian Anda….!

Notes

  • Your application will be kept as strictly confidential
  • Only short-listed candidates will be invited for selection and interview
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