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