Portfolio MIS and Reporting Analyst/Risk Management (RM08)
The portfolio MIS and Reporting Analyst is responsible for the development and execution of portfolio-level MIS and reporting.
Responsibilities include:
- Develop, manage and maintain all portfolio-level reporting and MIS by product and by Customer.
- Complete data credit management (internal and external).
- Develop and manage key control tools such as the Stress Test.
- Identify new opportunities through thoughtful analysis of the portfolio and products.
- Work cross-functionally with key partners.
- Ensure integrity of data and compliance with the Global Consumer/Commercial Risk Policies.
Required Skills:
- University degree in Mathematics, Statistics, Finance, Business Administration, post-graduate is desirable but it is not a prerequisite.
- Very good knowledge of the English language.
- Combination of powerful analytical skills and business understanding.
- Strong communication and presentation skills.
- Time management
- Advanced computer skills (working knowledge of Excel, Word, PowerPoint), including programming: SAS, SQL, MS, Access, General Query Tools.
We offer:
- A highly dynamic and challenging environment.
- Competitive salary and attractive benefits scheme.
- Continuous development & training
- Challenging career opportunities
Interested candidates, who have fulfilled their military obligations (where applicable) can:
REF RM08 |