About the Company:
Our client is a leading banking and digital finance platform in Southeast Asia that operates in 4 major countries: Indonesia Philippines Vietnam and Malaysia. Targeting an emerging market with an underserved but creditworthy and fastgrowing consumer group This Company currently provides users with digital banking consumer credit digital investment and insurance brokerage services fulfilling financial needs for a wide range of customers.
Just now This Company has raised a total of $438.1M in funding over 10 rounds. Their latest funding was raised on Feb 15 2022 from a Series E round.
Job Description:
- Monitor and analyze business operations analyze the effectiveness of strategies and discover risk characteristics and strategies.
- Improve the monitoring system and reports realtime observation changes in indicators periodically analyze and measure risks and formulate risk strategies.
- Thirdparty data evaluation and analysis output evaluation report and application plan to solve business problems.
- Responsible for strategy deployment and online verification output strategy crown pick and verification report.
- User risk profile analysis customer group change monitoring and model performance monitoring.
Requirements:
- Bachelor degree or above which is relate to economic mathematic and statistics.
- Min 2 years of risk strategy experience in Internet cash loans consumer finance companies auto finance companies or bank credit card and experience in risk control strategy formulation in Docking API is preferred.
- Familiar with basic data analysis tools ex: SQL SAS R language Python and able to continuously optimize risk strategies through analysis.
- Experience in formulating risk strategies for online small and micro loan products is preferred.
- Strong learning ability good teamwork spirit good pressure resistance and resultoriented.
Analysis,Risk,SQL,Python