Эта вакансия уже завершена
! Please note that this is NOT a managerial position.
Your tasks:
- Tracking portfolio performance along key credit metrics (e.g. payment behaviour, defaults, high risk concerns, etc.)
- Calculation of NPL, Impairment (IFRS 9) on the monthly basis, monthly portfolio data check
- Delivery of regular risk reporting to Executive Management and other stakeholders, as well as conducting thematic reviews and providing analytical insights into specific risk areas
- Performing activities within operational risk framework (risk events database, self-assessments, KRI, BCM etc.)
- Review of internal processes and corresponding guidelines
Our expectations:
- Degree in Finance/Economics or Mathematics
- Excellent Excel and Power Point skills, preferably VBA knowledge
- Previous experience in risk management (credit /portfolio /operational) or internal audit (is a must)
- Strong knowledge of risk-based, internal control assessment and risk management methodologies
- Analytical thinking, ability to communicate precisely; initiative, proactive and result-oriented approach to work
- Excellent English language skills
Preferred Skills
What we offer:
- German language skills
- Project management skills
- Experience with leasing company (automotive)
- working and learning in the team of professionals
- an opportunity to grow personally and to build-up your career
- social package