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Meridian Finance & Investment Limited

Senior Manager / Manager, CRM (Credit Risk Management)

Application Deadline: Sep 01, 2026
Summary
Published: Aug 04, 2026 Vacancy: Not Specified Gender: No Preference
Age: Not Specified Career Level: Experience: 5 to 8
Salary: N/A Location: Dhaka
Requirements

Education


  • Masters, in Accounting

Experience


  • 5 to 8

Additional Requirements

  • Experience: 5–8 years of experience in the Credit Risk Management (CRM) department of a Bank or Non-Banking Financial Institution (NBFI). (Mandatory: Experience must be strictly within Banks and NBFIs.)
  • Professional certifications such as CFA, FRM, or equivalent will be considered an added advantage.
  • Strong knowledge of credit analysis, credit appraisal, and credit risk policies.
  • Good understanding of risk management principles, portfolio risk assessment, and regulatory compliance.
  • Strong analytical, decision-making, and problem-solving skills with the ability to assess and mitigate credit risk effectively.

Responsibilities & Context

  • Lead the development, implementation, and continuous improvement of the organization's Enterprise Risk Management (ERM) framework, including risk policies, procedures, reporting standards, and risk appetite aligned with business objectives.

  • Monitor business activities to identify emerging risks and recommend appropriate risk mitigation strategies, policies, and process improvements.

  • Review and enhance internal credit risk guidelines and policies in response to changing market conditions, regulatory requirements, and industry trends.

  • Conduct periodic stress testing and scenario analysis to evaluate the impact on the credit portfolio and provide strategic recommendations to senior management.

  • Analyze delinquent portfolios to identify root causes of credit deterioration, recommend corrective actions, and monitor implementation to ensure timely resolution.

  • Provide strategic risk management insights and contribute to management committees on matters related to credit and enterprise risk.

  • Support credit risk system implementation and enhancement projects by defining business requirements and ensuring effective risk recognition, measurement, and reporting capabilities.

  • Lead the continuous enhancement of the Credit Risk Measurement Framework to strengthen portfolio quality and decision-making.

  • Deliver risk management training, guidance, and awareness programs while mentoring and evaluating team members to build organizational risk capability.

  • Monitor the effectiveness and integrity of risk measurement methodologies, management information systems (MIS), and reporting tools to ensure alignment with the institution's approved risk appetite and regulatory expectations.



Work Place

Work from Office

Employment Status

Type: Full Time/Permanent

Job Location

Dhaka

Company Information
Company Name: Meridian Finance & Investment Limited

Address: Silver Tower, Level 6, 52 Gulshan Avenue, Gulshan-1, Dhaka -1212.


Business Type : Bank/Non-Bank Fin. Institution

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