Portfolio & Risk Management Manager (FinTech) - Jagoan Loker

Portfolio & Risk Management Manager (FinTech)

Date Posted:
Salary:
Jakarta

Job Description

  • Responsible in developing the policies and Standard Operating Procedure for both risk mitigation and risk assessment within the organization
  • Periodically and regularly reviews and assesses on the risk assessment
  • If necessary, provide recommendations and implements on improvements
  • Constantly perform on current risks analysis and identifying potential risk
  • Responsible in risk management controls
  • Responsible in reviewing the performance of existing loan portfolio, mitigate the non-performing, and reduce the NPL
  • Responsible in providing loan performance report for the management
  • Regularly responsible for the credit portfolio management
Competitive Remuneration|Fast Pace Environment
  • Hold bachelor degree with related field
  • Minimum experience of 9 years in handling risk and portfolio management,
  • Having experienced working in fin-tech or P2P Lending industry is a MUST
  • Exposure to the managerial role
  • Highly numerate with strong analytical skills, to develop, analyse and provide commentary on plans and performance.
Our client is one of the market leading fin-tech P2P Lending company.
  • Good Remuneration
  • Benefits & Perks

Michael Page

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Job Detail

  • Location
    Jakarta
  • Company
  • Type
    Private
  • Employment Status
    Permanent
  • Positions
    Available
  • Career Level
    Experience
  • Gender
    Male/Female

Contact Michael Page

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