Description
As the Portfolio Manager your responsibilities will include but not limited to the following:- Drive of P&L
- Design/Definition of Risk Management Policy
- Management of Specific fraud Type
- Delivering elements of The risk management execution strategy and more.
Therefore this is a high profile role which requires exceptional skills in Credit Risk and Fraud Strategy. The role holder should have strong analytical skills and have experience of utilising data to drive policy and workflow prioritisation. Strong knowledge of Portfolio Dynamics and Customer Based dynamics is essential. Any experience in UK Consumer Finance Product Lines, Risk and rigour Management and Corporate Governance and Finance Strategy would be desirable.
Data Extraction and Analytics is done using SAS so experience in SAS Analytics/ SQL would be beneficial.
My clients are able to offer an attractive remuneration package: this includes a pension scheme, bonus scheme and an appealing basic salary. To hear more please give Sue Wan a call on ,
To find out more about Real, please visit us on www.realstaffing.co.uk