Job description
- Monitor and analyze business operations, discover risk characteristics and strategies
- Responsible to improve the monitoring system and reports, real-time observation changes in indicators, and periodically measure risks
- Responsible for third-party data evaluation and application plan to solve business problems
- Responsible for strategy deployment and verification
- Responsible for user risk profile analysis, customer group change monitoring, and model performance monitoring
Job requirements
- Minimum Bachelor's Degree, any major
- Minimum 2 years of risk strategy experience in banking/fintech/multifinance
- Fluent in English
- Familiar with basic data analysis tools, ex: SAS, R language, Python, etc, and able to optimize risk strategies through analysis
- Experience in formulating risk strategies for online small and microloan products is preferred
- Strong learning ability, good teamwork spirit, good pressure resistance, and result-oriented