Reporting Relationship:
• Direct line to Risk Manager
Overall Responsibility:
Support company needs as related to risk analysis.
Key Responsibilities:
• Support recurring needs (e.g. Risk Classification reports)
• Support ad-hoc requests in a quick, effective, and efficient manner using ad-hoc process
• Compare monitoring results to purchase policy guidelines, loss assumptions, etc.
• Assist with the development and implementation of quantitative risk models and analytical solutions
主要职责:
• 协助完成公司常规报告和业务需求,比如风险分类报告等
• 及时并有效的完成非常规的业务报告或数据分析
• 跟踪资产质量,损失计提准备并累计分析结果修正公司政策.
• 协助建立和维护风险数据模型及分析结果
Experience and Qualifications:
• Interested in data and analysis
• Strong combination of analytical, financial analysis, business acumen
• Good understanding of consumer finance business and operational knowledge
• A minimum of 2 years of experience in credit risk management, financial analysis, data analysis or related discipline
• Ability to communicate in English
• Ability to handle multiple priorities effectively while maintaining a positive work environment
• Bachelor degree in Business or analytical discipline, emphasis in a Finance or Quantitative discipline is preferred
要求:
• 对数据和分析有兴趣
• 有能力将数据定性和定量分析从业务的角度进行分析和理解。
• 对零售消费性融资业务有较好的理解
• 在信贷风险管理,财务分析或数据分析方面具有2年以上经验
• 有英语沟通能力
• 有同时处理多项事物,保持积极工作态度的能力
• 至少持商业类学士学位,财务分析或数量统计类佳。