Manager, Risk Analyst
Laichikok, Kowloon

Manager, Risk Analyst

Company : Corporation / Salary : $Negotiable

Responsibilities :

  • Report to the Unsecured Portfolio Risk Manager to monitor and manage Unsecured portfolios performance, namely Credit Card & Personal Loans;
  • Formulate & execute account management policies processes such as credit line changes, renewal, authorization, early warning alerts, stress test, early collection etc.;
  • Prepare regular portfolio quality review MIS & critical regulatory reporting with key commentary on portfolio trend highlights / key initiatives;
  • Perform regular monitoring & validation on the performance of credit scorecards & bureau segmentation models. Formulate analytics-based portfolio management strategy to optimize risk-reward trade-off, track & perform effectiveness of the actions;
  • Perform control programs to ensure relevant credit processes are in compliance with regulatory and group requirements;
  • Participate in various business, risk & system projects with close collaboration with other functions such as Product, Credit operations, Technology etc.;
  • Act as back-up to the Unsecured Portfolio Risk Manager to build high level of engagement in the unsecured portfolio risk team.
  • Requirements :

  • Bachelor or Post-graduate degree in Business or other related quantitative disciplines;
  • Minimum 4 years of portfolio risk management experience in Cards and Unsecured Lending Products;
  • Experience in credit scorecard and decision engine management;
  • Highly numerate, good communication, interpersonal skills and ability to motivate others with leadership potential;
  • Highly numerate with sound knowledge in SAS programming, Data mining and MS word / excel / access / ppt.
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