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Senior Risk Management Analyst
2 months ago
Industry Sector:
Financial Technology
Why Explore this Career Opportunity:
Attractive compensation package along with equity options
Paths for professional development and advancement within the company
Flexible paid time off policy
Comprehensive health insurance plans including Medical, Dental, Vision, Life, Employee Assistance Program, Flexible Spending Account, and Maternity Leave
Recently introduced Health Savings Account and Pet Insurance
Collaborative, mission-focused, and empowering workplace culture
Key Responsibilities:
Oversee monitoring of investor (lender) agreements related to credit risk, payment behaviors, and usage metrics.
Develop forecasting and projection frameworks for portfolio performance indicators.
Prepare and deliver presentations for monthly credit discussions with senior management.
Assist in simulating lender/portfolio agreements in response to significant risk strategy modifications.
Work in conjunction with the chief capital office, Finance, and other leadership teams to create analyses and materials for lender negotiations.
Essential Qualifications:
Strong proficiency in SQL with a keen interest in acquiring additional technical skills.
Excellent verbal and written communication abilities, along with strong presentation skills.
Familiarity with data visualization tools such as Tableau, and programming languages like Python, R, or SAS.
A minimum of 6 years of relevant analytical experience with a bachelor’s degree, or 4 years with a master’s degree in quantitative disciplines.
Experience in Credit Card, Loans, or other financial service sectors.
Preferred Qualifications:
Expertise in forecasting methodologies, particularly time series analysis.
Enthusiasm for leveraging data to address real-world challenges.
A proactive approach with a growth-oriented mindset.
Ability to prioritize effectively and achieve results efficiently.
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