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Job title

Portfolio Risk Manger(1255689)

Created

Aug 23, 2018, 08:26

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Description

Portfolio Risk Manager, New York, NY// Build Your Career | Love your Work | Make a Difference//Payoneer empowers entrepreneurs and businesses anywhere in the world – from Cairo to California, Buenos Aires to Bangalore and Tel Aviv to Tokyo – to expand beyond their borders and grow successful, sustainable businesses. With millions of customers in over 200 countries worldwide, Payoneer connects anyone, anywhere, with opportunities to trade globally./What we value://A humble, caring professional who puts customers and colleague’s first/Always striving for excellence in everything you do/Highly focused on getting things done, finding a way when others only see the challenges/A passionate person who wants to get wholeheartedly behind the mission/Someone who strives for excellence, always searching for a way to be better/A team player who understands that collaboration is the key to success//The Portfolio Risk Manager oversees and operates Payoneer’s Credit Risk tools, policies, and processes to minimize and mitigate risk while supporting a rapidly growing business. The work requires the Risk Manager to work independently as an individual contributor in a cross-functional working capital team (including people from Product, R&D, Bizdev, Data, Marketing, Operations, and more). As this is a new line of business, you will need to build everything from the ground up./You will be responsible for: //Creating new credit em>Risk Appetite Framework/em>/ (RAF) and benchmarks based on prior account performance, new business plans and input from management./Supervise em>Risk Modeling/em>/ and mentor new staff on existing, and the development of new, portfolio risk assessment/planning processes and data sources./Measuring em>acquisition/em>/ against RAF to ensure they are within expected risk and return requirements./Work with em>business/em>/ peers to determine the best ways to balance business and RAF needs./Provide em>senior management/em>/ periodic updates about the latest portfolio risk performance actuals and key modifications to improve forecast risk profiles for program/segment /channel./Establish and update written em>underwriting policies/em>/ for review by management and the Board./Drive continuous improvement of em>information controls/em>/./Understand em>sources of data/em>/ and improve the process of defining, extracting and utilizing data./Perform em>ad-hoc analysis/em>/ to answer senior leadership questions./Create em>presentations/em>/ for analysis - clearly stating objectives, methodology, and key findings//You should come prepared with://3-5 years of experience in em>Credit Risk/em>/ in lending with a bank or an online lending platform./em>A./em>/ in Economics, Mathematics, Engineering, Statistics, or a related em>quantitative discipline/em>//em>Strategic thinking/em>/ coupled with the ability to drive change end to end from concept to execution./em>Self-starter/em>/ who proactively seeks ways to improve./Exercises professional em>judgment/em>/ to resolve complex issues in creative and effective ways./Strong understanding of em>Risk Management and portfolio Financial Statements/em>/ impacts (P&L, Balance Sheet).// /

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