Description
The Senior Risk Analyst (Portfolio Risk) will drive portfolio risk analytics, credit performance monitoring, IFRS 9/ECL modeling, impairment analysis, reporting automation, and portfolio optimization initiatives. The role partners with Risk, Finance, Product, Collections, Technology, Data, and Executive Leadership teams to support risk-based pricing, digitalization, forecasting, stress testing, regulatory reporting, and strategic decision-making. It requires a bachelor's degree in a quantitative discipline, 5–7 years of relevant portfolio or credit risk experience, and strong analytical, SQL, Excel, Power BI, Python, SAS, R, and stakeholder-management capabilities.
