We are hiring a “Credit Risk Analyst” (Risk portfolio Analyst) with the below qualifications:
Requirements:
1- University Degree, Bachelor of Finance, Economics, Management Information system, or related field
2- 1-2 Years of experience as “Credit Risk Analyst” is a must in a banking / financial industry
3- Advanced Excel skills reaching VBA abilities/ regressions analysis/ coefficient analysis/ correlation analysis is a must
4- Experience in data analysis with statistics is a must.
5- knowledge of business drivers and issues in an unsecured lending business
6- Knowledge of Portfolio Risk / Management within financial business. Clear understanding of portfolio risks related to delinquency trends.
1- University Degree, Bachelor of Finance, Economics, Management Information system, or related field
2- 1-2 Years of experience as “Credit Risk Analyst” is a must in a banking / financial industry
3- Advanced Excel skills reaching VBA abilities/ regressions analysis/ coefficient analysis/ correlation analysis is a must
4- Experience in data analysis with statistics is a must.
5- knowledge of business drivers and issues in an unsecured lending business
6- Knowledge of Portfolio Risk / Management within financial business. Clear understanding of portfolio risks related to delinquency trends.
Brief about Job description:
1. Prepare MI analysis, reports & feedback to set the new credit strategies and to enhance the existing credit policies.
2. Prepare monthly MI packages for the retail credit products covering the credit cycle and all the related in-depth analysis to have clear vision of the customers’ performance.
3. Manage the retail Risk models and ensure that validation exercises and periodic reviews are completed within the deadlines.
4. Design the validation and integrity check process in order to avoid any reporting error.
1. Prepare MI analysis, reports & feedback to set the new credit strategies and to enhance the existing credit policies.
2. Prepare monthly MI packages for the retail credit products covering the credit cycle and all the related in-depth analysis to have clear vision of the customers’ performance.
3. Manage the retail Risk models and ensure that validation exercises and periodic reviews are completed within the deadlines.
4. Design the validation and integrity check process in order to avoid any reporting error.
Interested candidates can send their CVs on:
HR@fawrymicrofinance.com, mentioning the job title in the subject field.