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Credit Risk Portfolio Analyst (Senior - Manager)

2-10 Years
  • Posted 6 days ago
  • Be among the first 10 applicants

Job Description

RESPONSIBILITIES

  • Develop and implement Acquisition and Account Maintenance credit policies for unsecured loan products. Ensure all credit policies are complied with regulatory and compliance requirements.
  • Design report/dashboard and monitor portfolio credit performance to identify issues or new & innovative credit processes. Ensure that appropriate actions are promptly taken if necessary.
  • Provide deep dive portfolio analysis and strategic proposals to optimize portfolio quality and profitability. Effectively conceptualize analysis to various stakeholders.
  • Collaborate with Business, Credit Operation, Credit Risk Scoring, and other units to ensure the effectiveness of account maintenance activities and business growth with continuous improvement in credit quality.
  • Collaborate with the Finance unit on portfolio planning for potential loss and reserve requirements.
  • Provide initiative on new systems, tools and processes to ensure efficiency.
  • Perform the other assignments assigned by the Management team.

REQUIREMENT

  • Bachelor's and/or Master's degree in Economics, Business Administration, Statistics, Mathematics, Engineer or related fields
  • 2-10 years experience preferably in Credit Risk Management in Banking & Finance Business
  • Data query/manipulation using SQL is preferable
  • Good analytical, data visualization and presentation skills
  • Good command of written and spoken English
  • Multitasking, self-motivated and fast & independent learner

More Info

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About Company

Job ID: 151672251

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