Credit Portfolio Analyst at Renmoney

November 13, 2024

Job Description

Description
Responsibilities

  • Analyze portfolio trends to identify at a granular level and be able to communicate areas of risk and opportunity.
  • Take ownership of daily, weekly and monthly credit risk reporting vital to the monitoring of the loan portfolio in a timely, accurate manner.
  • Use analytical techniques to provide insight into key portfolios and segment trends.
  • Take ownership of the Portfolio plan and monitor/maintain key risk indices.
  • Present findings to risk managers to assist with improving the credit risk strategy to ensure the business operates within its agreed Risk Appetite and our customers are treated fairly.
  • Perform data reconciliation and validation routines.
  • In liaison with Products team, track the Unit Economics parameters and make recommendations accordingly.
  • Work with the data science team to review emerging trends and recommend areas for investigation.
  • Review and maintain data forecasting models to operate within desired expectations.

 

Requirements

  • University degree or equivalent standard with a high numeric content: statistics, economics, physics, mathematics, finance, etc.
  • Excellent working knowledge of Microsoft Office Products (Excel, PowerBI, Powerpoint, Word etc.).
  • Advanced SQL skills to extract data from databases.
  • Good communication and presentation skills with the ability to express technical ideas to a non-technical audience.
  • A Self-starter with analytical mindset and ambition for a successful career in Credit risk.

 

Desirable:

  • Minimum 3+ years practical experience in a credit risk/monitoring or similar analytical role
  • Detailed knowledge and understanding of retail banking products.
  • Previous experience in an analytical role within commercial banking or financial services
  • Producing reports for use by senior management and the board of the company.