Portfolio and Risk Management Specialist
3 weeks ago
Fusion Finance Ltd is seeking a highly skilled Collection Analyst to join its team. As a key member of our collections department, you will be responsible for conducting in-depth portfolio analysis, developing allocation strategies, and evaluating default risks.
- Conduct thorough portfolio analysis using tools like the Butterfly model and Johari window to assess default risks and identify recovery opportunities.
- Develop and implement allocation strategies to optimize recovery efforts and minimize losses.
- Evaluate the propensity to default of debtors and recommend appropriate recovery actions.
- Stay up-to-date with digital payment trends and integrate efficient strategies into the collections process.
- Work closely with the COO to handle new projects and ensure seamless integration.
Requirements:
- Proven experience in recovery and collections management within the financial sector.
- Proficiency in utilizing the Butterfly model, Johari window, and allocation strategies for portfolio analysis.
- Strong analytical skills with the ability to assess default probabilities and recovery potential.
This role offers a challenging opportunity to drive recovery activities and improve portfolio performance. With career progression to higher managerial positions available, you will have the chance to develop your expertise in recovery and collections management. Apply your skills and experience to make a meaningful impact at Fusion Finance Ltd.
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