Financial Controlling & Portfolio Risk Management Manager
Job Summary
Job Description
Key Responsibilities:
- Lead monthly financial reporting budgeting and forecasting processes
- Analyze business performance identify trends and provide actionable insights to management
- Monitor and control operating expenses profitability and pricing strategy
- Manage portfolio risk analysis credit performance and IFRS9 provisioning
- Support credit risk underwriting improvement and portfolio optimization
- Collaborate with HQ treasury and cross-functional teams on financial and risk topics
- Drive Business Intelligence (BI) initiatives including Power BI automation and data analytics
- Support pricing committee and business case development
- Lead coach and develop the finance/controlling team
Qualifications:
- Bachelors or Masters degree in Finance Economics Risk Management or related fields
- 7-10 years of experience in FP&A Financial Controlling or Portfolio/Risk Analysis
- Strong background in financial services banking or leasing industry
- Proven leadership experience with ability to manage teams and stakeholders
- Strong analytical problem-solving and communication skills
- Advanced skills in Excel Power BI and PowerPoint (Python is a plus)
- Experience working with regional or global stakeholders is an advantage
- Fluent in English
Required Experience:
Manager
About Company
Criterion Asia is a leading recruitment agency in Thailand. Specializes in executive search and recruiting mid to senior level candidates in Southeast Asia.