Leading Firm
Manager (Portfolio Analyst)


Experience: 3-6 Years
Openings: 1
CTC: No Bar
Job Description

As a Portfolio Analyst you will be:

- Identifying and developing risk appetite while working with different teams across the business

- Creating new or improving existing credit risk strategy to optimize and add value to the retail and business banking portfolios

- Evaluating, analysing and leveraging a range of statistical and written information using SAS

- Developing appropriate data driven policies and strategies and working with Policy and Governance team to embed effective policies within the product and operations areas

- Proactively Identifying opportunities to revise policies to enhance product strategy and returns, ensuring the risk appetite is aligned with strategic aims

Eligibility Criteria

- Analytical skills and experience working with data at a high level, using programmes such as SAS and SQL

- Strong knowledge and experience working within a credit risk environment with a good understanding of Retail credit risk processes

- Excellent Interpersonal skills with ability to communicate to varying technical ability levels

- Educated to degree level in a statistical or numerical subject

- Strong analytical skills, ability to digest and interpret complex concepts underpinning Credit Risk modeling and approaches, Ideally using SAS/SQL/Excel

About Company

A leading brand looking to bring a talented Credit Risk Analyst into the team.

- You will be involved in leading Credit Risk analytics and have the opportunity to work with some of the best in the business.

- Well known for their employee satisfaction, they are well known for providing quick development and career progression opportunities.

Refreshed on:  24 October 2016
Category:  Analytics/Ops...
Views:  409
Recruiter last login:  9 January 2017

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