- Bachelor's degree in mathematics/ statistics/ economics or equivalent; Master's degree is preferred
- Relevant experience in analytics preferably in the fields like Strategy Development, Loss Forecasting/Reserving, Modeling, Risk Strategy, Marketing etc.
- Excellent communication skills with technical (the team) and non-technical (senior entity management in region) counterparts; being able to "translate" between the two worlds is the major thing in the day to day work.
- Strong analytical skills with an ability to grasp new concepts quickly.
- Good organizational, analytical, problem-solving and verbal and written communication skills.
- Prior experience in managing risk activities in retail lending is essential.
- Prior experience in managing Retail portfolios such as Mortgage, Cards, Loans and Overdrafts
- Prior project management experience would be preferred
- Prior experience with acquisition risk strategy, account management strategy or strategy analysis and portfolio management would be preferred.
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