Job Details
- Languages
- English
- Experience
- 4 years
- Required Skills
- LeadershipProject ManagementPythonSQLBusiness IntelligenceExcel VBAMachine LearningStrategyData visualizationFinancial analysisRisk ManagementData analytics
Requirements
- Master’s degree (or foreign equivalent) in Management Studies, Computer Science, Mathematics, Physics, Business Administration, or related field.
- 4 years of experience in economic and accounting principles, financial markets, banking, and financial data analysis.
- Proficiency in SQL, Python, or Excel (Macro, VBA).
- Experience with Business Intelligence tools (Qlik, Power BI, or others).
- Experience with risk modeling (credit and market risk), macroeconomic trends analysis, and financial performance evaluation.
- Experience in data analytics, financial modeling, model validation, risk analytics, financial budgeting, and project management.
Responsibilities
- Define and ensure execution of the backbook risk strategy.
- Develop and refine robust forecasting for backbook risk.
- Develop and implement improvement processes for risk strategies.
- Develop, implement, and evolve repayment and modification tools strategies and policies.
- Develop and implement risk management framework and provisions for international divisions.