Risk Modelling Senior Manager, Fintech
Our client, a leading Fintech based in Jakarta, is looking for an experienced professional to join them as Risk Modelling Senior Manager as part of their expansionary plans.
In this position, you will be responsible for optimizing portfolio quality, driving business growth, and enhancing profitability through advanced risk modelling and analytics. Your role will involve developing risk models, managing loss reserves, supporting scoring management, and continuously refining key risk factors such as PD, LGD, and EL across various products and segments. You will also engage with regulators, auditors, and funding partners.
The ideal candidate will have at least 5-7 years of experience in risk analytics, scoring, and modelling, particularly in unsecured products. A robust understanding of OJK regulations and working proficiency in SQL, SAS or Python is essential.
If you are interested to find out more about the role, do reach out to me at [email protected] to find out more.
Our client, a leading Fintech based in Jakarta, is looking for an experienced professional to join them as Risk Modelling Senior Manager as part of their expansionary plans.
In this position, you will be responsible for optimizing portfolio quality, driving business growth, and enhancing profitability through advanced risk modelling and analytics. Your role will involve developing risk models, managing loss reserves, supporting scoring management, and continuously refining key risk factors such as PD, LGD, and EL across various products and segments. You will also engage with regulators, auditors, and funding partners.
The ideal candidate will have at least 5-7 years of experience in risk analytics, scoring, and modelling, particularly in unsecured products. A robust understanding of OJK regulations and working proficiency in SQL, SAS or Python is essential.
If you are interested to find out more about the role, do reach out to me at [email protected] to find out more.