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KEY RESPONSIBILITIES Spearheading the overall governance, risk, and compliance portfolio. Ensuring compliance with audit, statutory, and sharia requirements. Initiating updates of operating, financing, and pricing policies. Monitoring periodic credit review activities. Sourcing of additional equity and debt capital. Leading projects essential to the optimum running of the organization. Overseeing other tasks related to the portfolio. SKILLS & REQUIREMENT : Bachelor’s or master’s degree in business, law or any related disciplines, preferably majoring in the subject of governance, risk, and compliance. Minimum of 3 years of exposure in factoring and/or contract financing with factoring houses, commercial banks, or with other related financial services providers. Familiar with Microsoft Office applications. Language Proficiency: Malay and English