Descriptions
Professional experience and skills
Minimum of 2 years’ banking experience, with at least 6 months in credit management, portfolio analysis, portfolio management, or reporting within a highly automated environment
Proficiency in data analytics and practical use of MIS, BI tools, MS Office applications, and statistical programming languages such as SQL, R, or Python
Strong financial modeling, analytical, and problem-solving skills with emphasis on data science and risk management
Excellent written and verbal communication skills, with strong interpersonal ability to manage internal and external stakeholder expectations
Decisive, solution-focused mindset with strong attention to detail and accuracy when analyzing large volumes of data
To submit your application, please follow the link provided below.