Role propose
the portfolio risk manager applies speciality area knowledge in monitoring, assessing, analysing and/or evaluating processes and data. Identifies policy gaps and formulates policies. Interprets data and makes recommendations. Researches and interprets factual information. Identifies inconsistencies in data or results, defines business issues and formulates recommendations
requirements:
* economics, finance, actuarial science, or computer engineering, it or related.
* similar job experience, at least 2 years
* advanced sql and mysql
* programming knowledge is required
* python and java languages
* windows and linux software
* experience in querying complex databases
* experience in loan portfolio analysis
* advanced english is a must
main activities
* perform database queries and view the results
* analysis of additional data sources for inclusion in scoring models
* statistical analysis of risk metrics (approval rate, delay rate, etc.)
* monitor and analyze the loan portfolio quality and the effectiveness of existing credit policies
* work in operational processes in the areas of collection and verification
soft skills
* verbal and numerical comprehension
* organized and structured
* analytic
* proactivity
* ease of speech
* public domain
* assertiveness
* problem solving
we offer
* highly competitive salary
* vacations 14 days
* christmas bonus 30 days
* annual bonus up to 2 months of salary