01Overview
What role you will play in team: You'll be a senior member of our portfolio management team, providing insightful analysis to support effective credit risk decision-making.What you will do: You will manage and analyze a portfolio of credit exposures, conducting in-depth analysis to identify and mitigate potential risks.Key responsibility:Monitor and analyze credit risk exposures across a diverse portfolio of clients.Conduct in-depth credit risk assessments using various financial models and techniques.Prepare reports and presentations on credit risk trends and developments.Collaborate with other teams to identify and mitigate potential credit risks.Maintain accurate records of credit risk data and analyses.Advise on credit risk management strategies and policies.Required Qualification and Skills:Master's degree in Finance, Economics, or a related field.5 years of experience in credit risk management, with proven expertise in portfolio management.Strong analytical and problem-solving skills.Proficiency in financial modeling and statistical software (e.g., SAS, R).Excellent communication and presentation skills.Strong understanding of credit risk metrics and models.Benefits Included:Competitive compensation and benefits package.Extensive professional development opportunities.A collaborative and supportive work environment.Chance to work on challenging and impactful projects.A Day in the Life: Your day will involve analyzing financial data, conducting credit risk assessments, preparing reports, and collaborating with stakeholders. .