Risk Strategy Senior Manager
Our client is looking for a Risk Strategy Senior Manager to join the team and support the optimisation of risk strategies for unsecured product portfolios such as personal loans, PayLater, and credit cards.
As a Risk Strategy Senior Manager, you will be responsible for performing detailed analytics and testing to continuously refine risk strategies and contribute to enhancing key risk metrics, such as Probability of Default (PD), Loss Given Default (LGD), Expected Loss (EL), Usage Efficiency (UE), and pricing strategies.
To excel in this role, you should possess 5-10 years of experience in risk analytics, scoring, or modelling, particularly in unsecured products. Proficiency in data science programming languages like SQL, SAS, and Python would be required. Robust understanding of OJK regulations and fluency in English, both written and spoken are prerequisites.
If you are interested in the role, do email your profile to [email protected] to find out more. Due to high volume of applicants, we regret to inform that only shortlisted candidates will be contacted.