Job Summary
A company is looking for a Senior Portfolio Analyst to join their Financial Services team.
Key Responsibilities
- Analyze complex credit and lending data to develop strategies for loss mitigation and provide actionable insights
- Collaborate with cross-functional teams to enhance capital lending products and support growth and risk management
- Design and implement machine learning algorithms and AI solutions for optimizing business processes and portfolio management
Required Qualifications
- Proven experience as an Analyst in the financial services sector with a successful project delivery track record
- Experience with risk modeling software and machine learning libraries such as NumPy, Pandas, and scikit-learn
- Solid understanding of machine learning algorithms, statistical modeling, and data mining techniques
- Familiarity with cloud platforms for scalable data processing and machine learning model deployment
- A Master's or Ph.D. degree in a quantitative field such as Data Science, Statistics, Computer Science, or Mathematics is preferred
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