Offer summary
Qualifications:
Bachelor's or Master's degree in Finance, Economics, Statistics, or related field, Minimum of 3 years of experience in risk analysis or management, Strong analytical skills, statistical modeling and data analysis, Proficient in SQL and Excel, knowledge of Tableau, Python, or R is a plus, Excellent communication and interpersonal skills.
Key responsabilities:
- Conduct thorough analysis of credit and operational risk exposure and implement mitigation strategies
- Utilize big data analytics to identify risk patterns, develop reports and dashboards for monitoring risk metrics
- Create and refine predictive models for assessing credit risk, fraud, and defaults ensuring compliance with market trends
- Ensure all risk management activities comply with regulations, updating stakeholders on relevant compliance strategies
- Assist in risk-related projects integrating new technologies and contribute to improving risk processes