Job Summary
A company is looking for a Sr. Portfolio Risk Analyst.
Key Responsibilities
- Analyze new applicant data for credit decisioning and build dashboards for real-time indicators
- Monitor existing account behavior and identify signs of weakening creditworthiness
- Support P&L analysis of credit products and build models for customer lifetime value and profitability
Required Qualifications
- 5+ years of experience in data analytics or credit analytics, preferably in fintech or SMB lending
- Fluency in SQL/SAS and familiarity with Python or R for data analysis
- Strong understanding of credit underwriting principles and SMB financial analysis
- Experience interpreting business financials and cash flow data
- Familiarity with credit bureau data and commercial credit reports
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