We are now expanding our presence in Vietnam and looking for a Portfolio Risk Specialist that will perform data analysis on performance, risk, market dynamics & opportunities, and portfolio construction.
This role requires somebody who wants to go above and beyond and thrives in a dynamic environment. You will work closely with the Risk team in other countries on short-term and long-term projects to ensure superior performance for our newly established branch in Vietnam.
To be most successful, you will need to blend curiosity, flexibility, and precision. Responsibilities : As Portfolio Risk Specialist, you will be responsible for the following Daily review on key risk indicators and identified potential risk factor if anyPerform in-depth analysis to evaluate risk event and outline findings Develop understanding on the business process to address inquiries related to credit, risk and portfolio management Actively identify opportunities to improve portfolio quality and reduce riskParticipate on new product launch, policy change implementations and process changesQualifications : Advance knowledge in SQL is requiredBachelor’s Degree from reputable University with minimum GPA 3.
0Minimum 2 years experiences in Risk function, data analysis, lending, or other related fields within Financial InstitutionStrong analytical skills and attention to detailConversational ability in English requiredStrong and highly motivated leader, with positive mindset & attitudeComfortable working in a dynamic and fast-paced environment