Moladin sedang merekrut seorang

Credit Risk Manager

Loker ini dibuat lebih dari 2 bulan yang lalu
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  • Create and implement credit risk portfolio analysis (actual vs forecast) and working with finance to calculate the loss budget every month.
  • Together with Finance develop IFRS loss reserve model for all Moladin products.
  • Tracking the loss report provided by collection and able to provide recommendation related to risk area.
  • Provide credit risk deck and presentation to management related to credit risk trend.
  • Monitoring market trend and identify if there's any regulatory/policy change impact that can affect the company credit losses.
  • Create benchmarking report on how other finance industry losses trend and their credit policy implementation.
  • Identify portfolio optimization strategies in terms of both risk and return track such KPIs on monthly basis and escalate to Risk & Ops Head for needful attention and action.
  • At least a Bachelor’s Degree from top local or overseas universities with excellent GPA. Postgraduate/MBA degree and consulting experience is a plus.
  • Understand SQL/Programming language is beneficial with an advanced Microsoft Excell and PowerPoint skills.
  • Having experience in lending business of any financial institution with minimum 4++ years in credit risk management.
  • Have sound knowledge in credit risk principles and credit loss concept and best practice applied to lending business.
  • Balanced focus on customer losses and outcome and possess analytical and logical by nature with a keen eye for detail.
  • At least have experience on loss calculation forecast and/or IFRS.
  • Able to communicate in English.
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Jenis kontrak
Full Time
Lokasi
Tanggal posting
30 Oktober, 2023