Risk Portfolio Analysis Manager
Competitive | London | Permanent
Posted 17 days ago
Risk Portfolio Analysis Manager | London | Finance Lender
The company over the last 18 months have become fully digitalized winding down all old business areas to become a Pan European finance lender within the SME space, the people joining now are at the beginning of the growth and will work alongside senior management and the executive board to make sure this is a success so a flat hierarchy and growth to be able to grow your skill set and maximize usage of your current skill set.
The role will entail managing the health of the portfolio through analytics, which Is data driven to execute insight provided for risk, reward, and related innovation. The core aspects of the role will include specifying the required data for risk modelling and analysis, undertaking analytics to ensure that adequate risk management decisions are taken, reviewing the regular portfolio reporting, provide commentary on the observations of the reports, and documenting key procedures relating to credit risk management.
The role will drive the understanding of value and portfolio risk mix position, this emphasizes the generation of value opportunity from the data and analysis. This will include producing risk adjusted value analysis and understanding the relationship between risk, price, take up, and applications.
If you have relevant experience and looking for the next step in your career as a Risk Portfolio Manager, apply now!
Send your CV to me directly: Findlay.firstname.lastname@example.org
InterQuest Group is acting as an employment agency for this vacancy. InterQuest Group is an equal opportunities employer and we welcome applications from all suitably qualified persons regardless of age, disability, gender, religion/belief, race, marriage, civil partnership, pregnancy, maternity, sex or sexual orientation. Please make us aware if you require any reasonable adjustments throughout the recruitment process.