AVP, Business Analyst for Portfolio Analytics, Risk Modelling and Regulatory Stress Testing, Risk Management Group

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Central Singapore, SGP
In-Office
Senior level
Fintech • Information Technology • Software • Financial Services
The Role
Serve as business analyst for portfolio analytics, risk modelling and regulatory stress testing. Gather and document requirements, write user stories and test cases, support Agile delivery, perform first-level testing/UAT, track issues, liaise with technology, and support stress testing exercises and regulatory submissions (RWA, ECL, stressed RWA).
Summary Generated by Built In

About The Role:

  • Key role as a business analyst on Portfolio Analytics, Risk Modelling and Regulatory Stress Testing within Risk Management Group. Solutions delivery for model implementation, regulatory stress testing (IWST, ICAAP, Pillar 1 for MAS/HKMA), stressed RWA, ECL, NPL/SP forecasting and Reports submission.

Job Responsibilities:

  • Understand the Regulatory portfolio analytics, risk modelling and stress testing business requirements, writing user stories and functional specifications including test cases and expected results.
  • During the solutioning process to ensure solutions and design implemented are fit for purposes, long term and scalable.
  • Working with technology for system development in an Agile framework to explain requirements, tracking of backlog and user stories delivery.
  • Conduct first level user testing and tracking all known issues, and work with technology to drive resolution within sprint timelines.
  • Actively managing the UAT process and timelines, working with end users to explain results and issues resolution towards UAT sign off and go live deployment
  • Clearly documenting all steps in the project and testing results. And be able to provide timely update to stakeholders
  • Participate and support the coming stress testing exercise within the bank, and any other related projects.

Requirements:

  • Domain knowledge on regulatory model implementation, and regulatory stress testing on corporate and retail product.
  • Domain knowledge on capital requirements rules on RWA or IFRS9 Expected Credit Loss (ECL) is a strong plus
  • Strong experience of project delivery or system implementation
  • Keen understanding of application solutioning and system design
  • Proficient in SQL and be comfortable work with systems and a large amount of data.
  • Python knowledge is a strong plus

Location:

DBS Asia Central

Job:

Risk Management.

Schedule:

Regular

Employee Status:

Full time

Skills Required

  • Domain knowledge on regulatory model implementation and regulatory stress testing for corporate and retail products
  • Domain knowledge on capital requirements rules on RWA or IFRS9 Expected Credit Loss (ECL)
  • Strong experience of project delivery or system implementation
  • Keen understanding of application solutioning and system design
  • Proficient in SQL and comfortable working with systems and large datasets
  • Python knowledge

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The Company
41,000 Employees
Year Founded: 1968

What We Do

DBS Bank is a leading financial services group in Asia, headquartered in Singapore. It provides a full range of consumer, SME, and corporate banking services. The bank is recognized for its digital innovation, having been named 'World's Best Digital Bank' and 'World's Best Bank' by various publications. It also operates the DBS Foundation, which supports social enterprises and community initiatives, reflecting its commitment to creating impact beyond traditional banking.

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