
You will have direct oversight of credit portfolios across all countries where the Group operates, ensuring adherence to the objective of growing and maintaining a high-quality asset portfolio. You will implement the Group Credit Risk Policy, develop portfolio quality monitoring reports, and identify potentially problematic accounts for action.
BA/BS in Education, Mathematics, Business, Quantitative Finance, Computer science, Economics, Statistics, Engineering or Similar Quantitative field
At least 10 years working experience
5 of which must have been within a risk & control function with a focus on data analytics, risk analytics, internal/regulatory reporting, risk appetite monitoring, and/or portfolio management
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