Risk and Portfolio Analyst
6 months ago
Jakarta, Jakarta, Indonesia
- Risk Assessment: Evaluate the risk profile of the institution's portfolio by analyzing various financial instruments, transactions, and market conditions.
- Portfolio Analysis: Conduct in-depth analysis of the financial products and assets within the portfolio, identifying potential risks and opportunities.
- Data Analysis: Utilize quantitative and qualitative methods to analyze large sets of financial data, market trends, and economic indicators to identify potential risks and opportunities.
- Risk Modeling: Develop and maintain risk models to assess the impact of various factors on the portfolio, considering market, credit, liquidity, and operational risks.
- Monitoring: Continuously monitor and update risk metrics, ensuring that risk exposures are within acceptable limits.
**Education**:
Bachelor's degree in Science, Engineering, Finance, Economics, Mathematics, Statistics, or a related field
**Experience**:
- 1-2 years relevant work experience in risk management, portfolio analysis, or a related field within the financial industry.
- Familiarity with financial markets, investment products, and regulatory requirements.
- Fresh graduates with strong analytics background are welcomed.
Technical Proficiency:
Familiar with database, statistical tools or programing language for data analysis, data visualization (SQL, Python, R, SPSS, Excel, Tableau, Power BI, etc)
-
Credit and Portfolio Risk Lead
6 months ago
Jakarta, Indonesia Amartha Full timeDevelop recommendations to adjust credit policies by analyzing credit and financial performance and utilizing statistical scoring, segmentation, and regression and simulation techniques - Researches and analyzes financial information to evaluate a credit quality - Monitor clients and portfolios for changes in risk ensuring that loan quality/credit risk...
-
Credit Risk
6 months ago
Jakarta, Indonesia Amartha Full time**Responsibilities**: - Review and analyze credit portfolio quality to meet the risk appetite and company goals - Develop and built new policy or revamp existing policy to align with the portfolio growth and quality, and alignment with the company policy and regulatory - Monitoring business performance to achieve the business target and company...
-
Funding Portfolio Risk Senior Analyst
4 weeks ago
Jakarta, Indonesia Amartha Full timeConduct in-depth credit analysis of group lending, including financial statement analysis, credit scoring, and risk rating assignments. - Monitor the performance of the credit portfolio, identifying trends, concentrations, and potential risks; prepare regular reports for management. - Liaise with Funding Team to define RAC per Lenders to manage PD & CoC as...
-
Associate Director, Portfolio Risk
2 months ago
Jakarta, Indonesia Funding Societies | Modalku Group Full time**Funding Societies | Modalku** is the largest SME digital financing platform in Southeast Asia. We are licensed in Singapore, Indonesia, Thailand, and registered in Malaysia. We are backed by Sequoia India and Softbank Ventures Asia Corp amongst many others and provides business financing to small and medium-sized enterprises (SMEs), which is crowdfunded by...
-
Manager, Mis
2 months ago
Jakarta, Indonesia Funding Societies | Modalku Group Full time**Funding Societies | Modalku** is the largest SME digital financing platform in Southeast Asia. We are licensed in Singapore, Indonesia, Thailand, and registered in Malaysia. We are backed by Sequoia India and Softbank Ventures Asia Corp amongst many others and provides business financing to small and medium-sized enterprises (SMEs), which is crowdfunded by...
-
Portfolio Analyst
4 months ago
Jakarta, Indonesia Kredivo Group Full time**Responsibilities**: - Creating dashboard for monitoring key risk indicators - Analyze and monitor key risk indicators changes and provide highlight to risk management - Develop understanding in underwriting and business process - Conduct in-depth analysis of risk portfolio and recommend improvements - Work closely with related function to accommodates...
-
Portfolio Management Analyst
6 months ago
Jakarta, Indonesia Amartha Full timeAbout the role As a Portfolio Management Analyst you will be in charge of increasing # of premium lender, active lender, share of wallet, product holding, lowering churn and reporting. As Individual Contributor in Funding team, you will work closely with funding business unit, risk management, operations, marketing, and data science...
-
Portfolio Risk Management Manager
3 months ago
Jakarta, Indonesia Flip Full timeLentera 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...
-
Credit Risk Business Analyst
6 months ago
Jakarta, Indonesia Techtiera Services Indonesia Full timeWe are looking for a talented Credit Risk Business Analyst who focuses on Credit Risk in Banking Sector to join our team and help us enhance our risk management strategies. **Responsibilities**: - Analyze and interpret credit risk data to identify trends and insights. - Develop and maintain credit risk models and scorecards. - Collaborate with stakeholders...
-
Portfolio Analyst
6 months ago
Jakarta, Indonesia FinAccel Full timeFinAccel is a fun, fast growing company with lofty ambitions. Starting with instant ecommerce financing, we are on a goal to disrupt unsecured lending in Southeast Asia, one of the fastest growing economic regions globally. Our first product, Kredivo, which integrates at merchant checkout, qualifies ecommerce buyers for instant ecommerce purchase financing...
-
Risk Management Analyst
6 months ago
Jakarta, Indonesia Sigap Prima Astrea Full time**Kualifikasi**: - Pendidikan S1 Segala Jurusan - Pengalaman mínimal 2 tahun sebagai credit analyst/risk management **Jobdesk**: - Support perusahaan dalam mencapai target bisnis - Melakukan screenign dan analisa atas seluruh persyaratan dokumentasi (mandatory) dan hard copy portofolio calon klien untuk dilakukan check kelengkapan sesuai ketentuan dan...
-
Credit Analyst
6 months ago
Jakarta, Indonesia PT Pemeringkat Kredit Indonesia Full timePT Pemeringkat Kredit Indonesia is an Indonesian based full-service credit rating agency. We provide market participants with an alternative credit opinion by delivering in-depth analysis across various sectors within Indonesian market. Job Posting Credit Analyst About the job Company Description PT Pemeringkat Kredit Indonesia is an Indonesian based...
-
Risk & Controls Analyst
6 months ago
Jakarta, Indonesia Moladin Full timeWork cross-functionally with various stakeholders in developing and optimizing existing systems and processes. This includes review of our existing controls and risk criteria across various steps of the onboarding/ transaction funnel - Develop various metrics within the relevant step(s) of the onboarding/ transaction funnel and follow up with a sustainable...
-
Credit Risk
7 months ago
Jakarta, Indonesia Amartha Full timeAbout the team This position is to lead the Credit Portfolio Risk management and handle the team to help the Head of Portfolio Risk to analyze the portfolio risk and manage the portfolio quality and ensure all processes are properly managed. Job Desc - Review and analyze credit portfolio quality to meet the risk appetite and company goals - Develop and...
-
Credit Risk Portfolio Analyst
3 months ago
Jakarta, Indonesia PT KB Finansia Multi Finance Full timeMengembangkan analisis dan monitoring terhadap resiko kredit, serta memberikan rekomendasi untuk meningkatkan performa kualitas kredit secara kontinu - Melakukan analisis terhadap resiko kredit melalui pemrosesan data dan informasi yang berkaitan - Melakukan review terhadap kebijakan, kriteria, _risk appetite, risk tolerance, _maupun model resiko kredit...
-
Financing Risk Analyst
6 months ago
Jakarta, Indonesia Group Hijra (Hijra Bank, ALAMI P2PL) Full timeHijra (previously known as the ALAMI Group) is a financial technology company that follows sharia principles. It was founded in 2018 by Dima Djani, Harza Sandityo, and Bembi Juniar. The company offers a range of services, including a peer-to-peer lending platform, mobile banking app, and mortgage all of which are based on sharia principles. Hijra has a...
-
Portfolio Management
2 months ago
Jakarta, Indonesia PT Bank Oke Indonesia Tbk (OK Bank) Full timeDeskripsi Pekerjaan - Manage portfolio management for credit reviewer (database, portfolio per industry, and group debtor) - Handle credit committee, watch list, and covenant monitoring management - Maintaining internal memos and SOP - Preparing data requests from management for the risk part - Preparing risk rating and industry outlook research - Has a...
-
Risk and Fraud Analyst
4 weeks ago
Jakarta, Indonesia Setara Networks Full timeWe at Indepay | Setara Networks are here to revolutionize the Indonesian payment ecosystem by introducing one click checkout services in order to make transactions zero-fee, instant, and rewarding for the consumer. On one side we’re working with financial institutes to enable real-time account to account transfers through our platform, and on the...
-
Credit Analyst Manager
6 months ago
Jakarta, Indonesia Indodana Full timeResponsible for conducting credit evaluations on companies to ensure loan feasibility and repayment capability. - Work in credit risk management teams to identify and evaluate credit risks, and provide recommendations on loan approvals or rejections. - Play a key role in supporting the growth of productive credit portfolios and ensuring the quality of credit...
-
Credit Analyst
6 months ago
Jakarta, Indonesia Zurich Insurance Full timeJob Summary- The Credit Analyst will work as part of the fixed-income team, to provide credit opinions for investment grade and high-yield portfolios managed in-house. Responsibility includes robust analysis on investing/ divesting decisions, security selection, sector analysis/ opinion, and ESG investing analysis.- Job Qualifications- Education- University...