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Credit Risk Manager

Full Time · Operation · Hybrid

Kota Administrasi Jakarta Barat, DKI Jakarta, Indonesia

What you will do

  1. Responsible for monitoring the financing portfolio in order to perform risk management - from prevention to corrective activities.

  2. Collaborate with cross-functional teams, from product and business to fuel growth and the risk team to manage inherent risks.

  3. Oversee and manage collection activities. 

  4. Provide periodic results for internal stakeholders or external stakeholders. 

  5. Support credit risk modeling by providing qualitative and/or quantitative feedback. 

  6. Manage loan policy experiments and documentation. 

  7. Ensure financing portfolio’s data quality and governance.

What you will need

  1. At least 3 years of experience in portfolio monitoring & management/credit analytics/risk analytics in the fintech industry. 

  2. Understanding of end-to-end loan products and credit risk management. 

  3. Strong analytical, communication, and collaboration  skills. 

  4. Proficient in using SQL and Excel - understanding of visualization tools and/or Python is a plus (Metabase, Looker Studio)

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