A company is looking for a Risk Portfolio Analytics Manager.
Key Responsibilities
Lead the production and delivery of risk reporting for key governance bodies
Monitor portfolio performance and deliver analytics to support capital markets activities
Enhance risk data reporting processes and establish controls for data integrity
Required Qualifications
6-10 years of experience in risk management, portfolio analytics, or financial analysis
Strong quantitative and analytical skills with experience in risk reporting and credit performance metrics
Proficiency in SQL, Python / R, and data visualization tools
Solid understanding of financial modeling and credit risk frameworks
Bachelor's degree in Finance, Economics, Mathematics, Data Science, or related field (Master's preferred)
Portfolio Manager • Oakland, California, United States