Clifford Capital – Project Intern, Credit Risk (Jul to Dec 2026)

Company
Clifford Capital
cliffordcapital.sg
Designation
Project Intern, Credit Risk (Jul to Dec 2026)
Date Listed
17 Jun 2026
Job Type
Entry Level / Junior Executive
Intern/TS
Job Period
From Jul 2026, For At Least 6 Months
Profession
Risk / Product / Project Management
Industry
Finance
Location Name
Beach Road, South Beach Tower, Singapore
Address
38 Beach Rd, Singapore 189767
Map
Allowance / Remuneration
$2,000 monthly
Company Profile

About Clifford Capital

Headquartered in Singapore, Clifford Capital was established in 2012 with the support of the Government of Singapore as a provider of debt financing solutions to companies and projects with a nexus to Singapore in the infrastructure and maritime sectors.


Today, Clifford Capital is an infrastructure credit financing platform for real assets globally across the debt capital structure. The Group is increasingly pivoting towards areas such as clean energy, energy transition, social and digital infrastructure, electrification, and maritime decarbonisation to address the challenges posed by environmental, social and governance issues globally, and in particular within the Asia Pacific region. Its ambition is to deliver innovative financing solutions that positively influence sustainability and deliver commercial returns for its shareholders.


Clifford Capital aims to build a globally competitive alternative asset management and financing platform closely aligned to Singapore’s objectives of creating a centre of excellence in financial markets focused on sustainability and green finance.


Clifford Capital’s shareholders comprise of Temasek Holdings, Prudential Assurance Company Singapore, Sumitomo Mitsui Banking Corporation, Standard Chartered Bank, DBS Bank, John Hancock Life Insurance Company (Manulife), and the Asian Development Bank.

Job Description

Position Overview

The successful candidate shall assist with the risk management of our commitments at a transaction level. He/She should have a keen interest in risk management, possess strong analytical skills and have an aptitude for understanding complex documentation.

Amongst other activities, the successful candidate would be involved in the following tasks:

  • Assist in the annual review of individual transactions in our portfolio. This includes performing financial analysis on Borrower, sensitising financial projections, and assessing the appropriateness of assigned credit ratings and LGD;
  • Assist in the analysis of transition risk, physical risk, and GHG emissions at transaction level;
  • Engage in systems related projects
  • Provide research on specialised sectors and counterparties analysis. 
  • Responsible for putting to record decisions and discussions made at Credit Committees.
  • Opportunities to analyse new transactions in the market, if skillsets are met. 


Knowledge/ Experience Required

  • Completed / pursuing a good university degree in Business, Accounting, Finance, Economics or related subject
  • Adept at Excel, Powerpoint and Word 
  • Strong communication skills (both written and verbal) 
  • Growth mindset, detailed and solution-oriented 
  • Pleasant personality and a good team player with the ability to demonstrate initiative and work well with minimal supervision and within tight timeframes

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