Risk Analysis and Mitigation: Conduct in-depth analysis of our credit and operational risk exposure. Develop and implement strategies to mitigate identified risks.
Model Development: Create and refine predictive models for assessing credit risk, fraud, and defaults. Ensure models are up-to-date with market trends and regulatory requirements.
Data Analysis: Utilize big data analytics to identify risk patterns and insights. Develop reports and dashboards to monitor risk metrics and performance.
Regulatory Compliance: Ensure all risk management activities comply with regulatory requirements and industry standards. Stay updated on relevant regulations and advise on compliance strategies.
Stakeholder Communication: Communicate risk findings and recommendations to stakeholders, including senior management and department heads. Guide risk mitigation measures.
Project Management: Lead risk-related projects, including the integration of new technologies or methodologies into the risk framework.
Continuous Improvement: Continuously seek to improve risk management processes and strategies through innovation and adopting best practices.
Key Responsibilities
Risk Analysis and Mitigation: Conduct in-depth analysis of our credit and operational risk exposure. Develop and implement strategies to mitigate identified risks.
Model Development: Create and refine predictive models for assessing credit risk, fraud, and defaults. Ensure models are up-to-date with market trends and regulatory requirements.
Data Analysis: Utilize big data analytics to identify risk patterns and insights. Develop reports and dashboards to monitor risk metrics and performance.
Regulatory Compliance: Ensure all risk management activities comply with regulatory requirements and industry standards. Stay updated on relevant regulations and advise on compliance strategies.
Stakeholder Communication: Communicate risk findings and recommendations to stakeholders, including senior management and department heads. Guide risk mitigation measures.
Project Management: Lead risk-related projects, including the integration of new technologies or methodologies into the risk framework.
Continuous Improvement: Continuously seek to improve risk management processes and strategies through innovation and adopting best practices.
Skills, Knowledge & Expertise
Bachelor\'s or Master\'s degree in Finance, Economics, Statistics, or a related field.
Minimum of 2 years of experience in risk analysis or management, within the BNPL sector or related financial services.
Strong analytical skills with experience in statistical modelling and data analysis.
Proficiency in risk management software and advanced Excel.
Advanced SQL is essential.
Knowledge Python, or R is a plus.
Excellent communication and interpersonal skills, with the ability to convey complex information clearly and concisely.
Proven track record of managing projects and leading cross-functional initiatives.
Job ID bd108ba3-f2e4-4c70-879c-6c1bc780fa2c
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