Creation and design of a structure for the Risk Department
Design and implementation of a process flow
Risk Analysis and Portfolio management*
In-depth study of risk control theory, with rich practical experience, according to business needs and market changes, put forward suggestions on approval and risk control procedures, and improve the level of risk control.
Keep up to date with the company’s lending protocols
Assessing the creditworthiness of existing or prospective clients
Completing ratio, trend, and cash flow analyses and creating projections
Routinely monitor loans for compliance
Draft models of credit information that predict trends and patterns
Qualifications
B.Sc in Finance, Accounting or any relevant field.
The ideal candidate should have 2 years and above experience with a financial background.
A knack for figures and passionate about analysis and process optimization.
Benefits and Perks
Coaching opportunities and learning Financial Technology from the best
Join a young, passionate, hungry and growing team of entrepreneurs & facilitators
Flexible working hours and offsite work arrangements.