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Responsibilities :
Analyze and manager portfolio performance including develop and implement risk strategy.
Conduct analysis and provide information for credit risk evaluation to reduce and / or manage risk.
Maintain credit policies to reflect / anticipate changing marketing and competitive opportunities / threat.
Support business including new product initiative to maximize profitability with continuous improvement in credit quality.
Support portfolio planning for potential loss and reserve requirement.
Prepare the routine reporting and support the ad hoc analysis on any other issues
Bachelor&aposs Degree or higher in Finance, Accounting, Economics or any related field
Minimum 2 years of working experience Familiar with financial modeling, good with number
Strong in analytical skills
Good presentation, communication, and interpersonal skills
Ability to work under time pressure.
Experience in financial institutions or consumer lending business is preferable
Date Posted: 27/03/2025
Job ID: 106848575