Description
The Portfolio Analyst will scale and optimize a credit portfolio by monitoring portfolio metrics, assessing loan-to-value and pricing, developing customer segmentation, adjusting credit policy, and improving loan origination processes. The role collaborates with Product and Data Science on scoring-model requirements, scoring-card performance, and cash-flow forecasting, while also monitoring risk concentration and regulatory requirements for MFIs or banks. Candidates need at least three years of analytics or portfolio-analytics experience, strong credit-risk knowledge, and proficiency with Excel, SQL, and Python; the position is remote from anywhere in the world.
