Offer summary
Qualifications:
Bachelor's or Master's degree in Finance, Economics, Statistics, Minimum of 3 years in risk analysis or management, Strong analytical skills and statistical modeling experience, Proficiency in SQL and Excel; Tableau, Python or R is a plus, Experience managing projects and cross-functional initiatives.
Key responsabilities:
- Analyze credit and operational risk exposure
- Develop strategies to mitigate identified risks
- Utilize big data analytics to identify risk patterns
- Ensure compliance with regulations in risk management
- Communicate risk findings and recommendations to stakeholders