• Responsible for portfolio risk analytics, including portfolio segmentation, acquisitions performance reviews, etc. with a view to build a resilient retail asset portfolio
• Maintain current knowledge of business, organizational, credit risk and technological changes as well as pertinent internal and regulatory policy and procedural requirements to ensure review.
• Be part of credit risk model development processes across products; ensure new models follow the requisite analytical and functional rigor in terms of model quality, performance and stability. Has good analytical thinking, strong coding skills, and an eye for detail. Excellent time management capabilities\
• Develop dashboards/ automate MISes to monitor various Key Risk Indicators (KRI) of Retail Asset PF
• Knowledge of MS office tools as such Power Point, Word & Excel is must. Having proficiency in advanced excel will be an added advantage.
• Proficiency on languages such as R, SQL, Python also will be advantageous.