Senior Portfolio Risk Manager | Retail | Hong Kong recruitment
Responsibilities for Portfolio Risk Manager
• Manage full spectrum portfolio risk management strategies for consumer credit products in Asia Pacific region
• Formulate business solutions including implementation plans that deliver optimal risk-reward balance resulting in maximal profitability
• Employ cutting-edge decisioning techniques for effective portfolio risk strategy development
• Monitor and evaluate adaptive portfolio risk strategies to identify continuous improvement opportunities
• Provide consultation to local teams on managing risks associated with their existing portfolios
• Work with business teams providing risk perspectives for business growth
• Manage the implementation of portfolio strategies in the group standard system for behavioural scoring and adaptive control (TRIAD) across the Asia Pacific region
Requirements for Portfolio Risk Manager
• University graduate with a degree preferably in statistics, mathematics, or equivalent professional qualifications
• More than 8 years hands-on experience in portfolio risk management for retail asset products
• In-depth knowledge of consumer credit cycle management
• Strong analytical skills
• Strong leadership skills and self motivated to succeed
• Good written and spoken communication skills in English
• Good interpersonal skills and be able to work as a team
Please send all enquiries to qrfsing@selbyjennings.com
Keywords: retail, portfolio, risk manager, risk, statistics, bad debt collection, strategy, cards, loans