Finance and Portfolio Manager required for a leading US bank.
Details
Responsibilities:
- Manage the finance & portfolio team in providing timely and accurate management information to the department.
- Establish and refine the MIS structure of the department.
- Establish and refine profitability model of consumer loans business and feasibility studies on potential developments to facilitate management’s decision
- Automate and streamline workflows of the team and department
- Responsible for performing market/trend analysis as well as developing various reports for management’s evaluations
- Manage and analyze portfolio mix and the profitability of products and customers
- Analyze prospective customer segment and optimize business dynamics
Requirements:
- Degree holder in finance, accounting, statistics or related discipline
- A minimum of 6 years of work experience in data/financial analysis
- Experience in market and product analysis, preferably gained from banking / financial institutions is beneficial but not necessary
- Good knowledge of SAS, SQL and other statistical tools