Our client is a new Loan Services Application in Indonesia, originated from Singapore and have achieved the top 3 loan apps in Philippines and Thailand. Their main business, operating in 6 countries is Credit Evaluation System for Banking and Non-Banking clients.
Responsibilities:
- Responsible for data analysis and evaluation regarding risk management strategy.
- Build monitoring dashboard to identify abnormal fluctuations and issue risk warnings.
- Coordinate with anti-fraud and payment teams in strategy formulation and evaluation.
- Investigate popular risk events and produce reports.
- Conduct feature evaluation and processing of risk management framework based on various risk control scenarios and optimize the framework.
Requirements:
- Major in mathematics, physics, statistics, financial engineering, machine learning, or computer science preferred.
- Proficiency in SQL, understanding of data structures and data processing, and familiarity with at least one commonly used programming language such as Python, R, C++, etc.
- Proficiency in Mandarin is preferred, with good logical thinking, strong execution, and communication skills.
- 3 – 5 years working experience in risk analysis experience within the financial technology industry.