Job Description
We are seeking a Manager in Risk Analytics with a specialized focus on Collections and Recovery. The successful candidate will lead efforts to develop, implement, and optimize analytical models and strategies that enhance collection efficiency, recovery rates, and overall credit risk mitigation. This role involves working closely with collections, and recovery teams to provide insights that drive strategic decisions, increase automation, and improve portfolio performance.
Key Responsibilities:
Insight Generation: Analyze customer data, underlying assets, and payment histories to identify trends and opportunities in collections and recovery.
Reporting and Visualization: Develop and enhance dashboards, reports, and visualizations that effectively communicate risk data and insights to stakeholders. Monitor performance metrics related to collections and recoveries, and provide actionable insights and reports to management.
Collection & Recovery Strategy: Develop strategies to optimize collection processes, reduce delinquencies, and maximize recoveries.
Automation: Collaborate with collections, recovery, and payment teams to enhance existing workflows through data-driven solutions.
Supporting Leadership: Assist the Head of Risk in preparing risk packs and reports for Risk Committee meetings and other executive forums.
Must Have:
5+ years experience in analytics, or risk management.
Expertise in data analytics and data visualization tools (e.g., Tableau, Power BI) and SQL.
Experience in risk management frameworks and practices is a plus.
Experience in Data Science/ ML modelling is a plus.