Risk Analytics and Underwriting Senior Manager

2 weeks ago


Jakarta, Indonesia Flip Full time

Lentera Inspirasi Pembiayaan (LIP), an entity of Flip, is building the fairest and most customer centric multi-finance platform in Indonesia.

**About Flip**
Rafi, Luqman, and Anjar, who were college friends in Universitas Indonesia, started Flip as a project in 2015 to transfer payments to each other at a fraction of what banks would charge them. They are pioneers in the Indonesian market, with their technology now helping millions of Indonesians, both individuals and businesses, carry out bank-to-bank money transfers through a reliable and seamless app.

After seven years of operations, Flip has helped Indonesians transfer money worth several trillions of rupiah and has received double-digit funding from respectable investors such as Sequoia India, Insight Partner, and Insignia. Flip’s ultimate mission is to give Indonesians access to one of the most progressive and fairest financial services in the world.

At Flip, we always strive to provide the fairest place for you to work, learn, and grow with talented and fun people in various opportunities to advance your career and get fair rewards. We believe that we have to treat employees, customers, and all stakeholders fairly and respectfully. Fair treatment for employees means we establish clear goals, facilitate our employees to achieve them, and value their contribution to the company with equitable benefits.

**What you'll do**

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Lead and oversee the underwriting process, ensuring the quality and integrity of risk assessments and approvals.
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Develop, implement, and continuously improve risk scorecards for credit decisioning, working closely with data scientists and risk analysts.
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Manage and optimize the use of external data sources (e.g., credit bureaus, alternative data) to enhance risk assessment and underwriting accuracy.
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Design and monitor fraud triggers and detection systems to minimize fraud-related risks across all channels.
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Collaborate with cross-functional teams (e.g., IT, product, legal) to ensure alignment of risk policies with business goals.
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Analyze portfolio performance and risk metrics, generating insights to drive proactive risk management strategies.
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Mentor and lead a team of risk professionals, fostering a culture of continuous improvement and excellence.
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Ensure compliance with all relevant regulatory requirements and industry standards related to underwriting and risk analytics.

**What you'll need**
- Bachelor's degree in Finance, Statistics, Data Science, or related fields; Master's degree preferred.
- At least 8-10 years of experience in risk management, underwriting, or related fields in financial services, with a focus on multi-finance operations.
- Strong expertise in developing and managing risk scorecards, fraud detection systems, and underwriting frameworks.
- Proficient in data analysis tools (e.g., SQL, Python, R) and experience with risk modeling techniques.

Excellent leadership, communication, and problem-solving skills.
- Familiarity with regulatory requirements and best practices in risk management and fraud prevention.



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