- Monitoring on portfolio quality for multiple products, analyzing trends by various variables, detect any adverse or any potential issues that needs to be analyzed further to find the root cause.
- Develop, monitor and forecast portfolio management and analyze deeper between actual performance vs forecast in order to ensure the credit risk management strategy is in place and within the credit risk target.
- Develop methodology and calculating reserves needed for each product and whole portfolio so the risk still can be covered and within the budget.
- Proactively and regularly monitor actual vs targeted OKR, recommend an action item(s) to achieve the OKR.
- Minimum 2 years of relevant working experience, preferably from start-up/tech company or financial industry.
- Good knowledge about credit risk flow process
- Intermediate proficiency SQL and using data tools (Metabase, Periscope, Big Query etc)
- Excellent communication skill and stakeholders’ management
- Strong analytical skills and problem solving
- Adaptable and wiling to travel.
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