Риск-менеджер

Дата размещения вакансии: 06.01.2025
Работодатель: EcoFinance
Уровень зарплаты:
з/п не указана
Город:
Москва
Требуемый опыт работы:
От 3 до 6 лет

EcoFinance is Fintech company offering short, mid- term and long-term online consumer lending products across 4 markets, issued over 350 mln. EUR in loans since start of operations in 2015.

There are new products planned to be launched in 2025: a credit line and a credit card. We are a team of 350 + skilled professionals working in distributed teams set up across 6 different locations.

Job responsibilities:

• Develop, implement, and calibrate risk policies (provisioning methodology, credit risk, operational risk, anti-fraud, etc.).

• Conduct credit portfolio and risk analysis, providing improvement recommendations and corrective actions.

• Establish and implement a robust risk governance framework for operations at thecountry level in the region.

• Develop and optimize automatic decision-making processes related to credit risk, fraud prevention, and collection optimization.

• Develop, implement, optimize, and support collection strategy and processes, on-boarding, and risk assessment.

• Manage new and existing data sources, including identification, implementation, usage, monitoring, and analysis.

Requirements:

• Higher education in Mathematics, Economics, Finance, or a related field.

• Proven experience in credit risk management, scoring models development, provisioning, portfolio management, and analysis in APAC markets (Philippines market experience is a strong advantage).

• Excellent knowledge of MS Office (Excel, PowerPoint, Word)/Power BI.

• Experience working with tools like SQL, R, Python.

Proficient in English B2

Must be willing to work UTC+8 timezone.

We offer:

• Competitive Compensation Package

• Relocation to Manila or fully remote work setup