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Credit Risk Analytics Strategy Manager-C11
3 months ago
The Credit Portfolio Intermediate Analyst is an intermediate-level position responsible for building and enhancing credit strategies, recommending, and monitoring credit tests and ensuring accuracy of strategy changes into production.
Role Summary:
• Enhance and improve the Risk policies using statistical techniques to optimize business growth and profits by minimizing the losses
• Support tactical and strategic Risk Analytics projects for Citi's Retail Services Group in the US.
• Independently manage development and implementation of effective risk management strategies that balances the risk and reward of the portfolio
• Apply innovative analytical techniques to customer and transaction data to build risk mitigation strategies and processes
• Apply subject matter expertise to the prioritization and planning of projects in conjunction with risk management policies and strategies.
• Must be able to effectively provide updates and communicate key initiatives to senior risk management.
• Analyze tests and performance using SAS and decision tree (CHAID/ CART)
• Evaluate effectiveness of current policies and strategies
Responsibilities:
• Must have capability to clearly develop and communicate analysis
• A good understanding of credit life cycle
• Must have hands on expertise in developing and managing segmentations
• Presentations to both technical and non-technical personnel are required to be made frequently as part of the job
• Ability to work efficiently in a matrix environment balancing between both business and functional interactions and priorities.
Skills:
• Experienced in developing, implementing, and monitoring credit strategies or scoring models across authorizations, underwriting, existing customer management and collections
• Programming skills in advanced SAS, SQL, Knowledge Studio, SAS E-miner in mainframe, UNIX and PC environments.
• Highly proficient in Excel/pivot tables and PowerPoint.
• Exposure to project/process management
• Strong communication and presentation skills targeting a variety of audiences
• Flexibility in approach and thought process
• Strong influencing and facilitation skills.
Qualifications:
• 5+ years of relevant experience
• Experience in financial analysis, accounting, and valuation
• Consistently demonstrate clear and concise written and verbal communication
Education:
• Master's degree/University preferred
Job Family Group:
Risk Management
Job Family:
Credit & Portfolio Risk Management
Time Type:
Full time
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