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Senior Portfolio Analytics & Report

Risk Division

Work Location Ho Chi Minh
Job Level Experienced (Non - Manager)
Job Type Permanent
Qualification Bachelor
Experiences 2 - 3 Years
Salary Negotiable
Industry Banking, Finance / Investment
Deadline to Apply 17/09/2024
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Hướng dẫn ứng tuyển

Bước 1: Điền vào Mẫu thông tin ứng viên SHB Finance , tải mẫu tại đây,
Bước 2: Chọn nút "Nộp Đơn" bên trên để ứng tuyển.
Bước 3: Sau khi hoàn tất bước nộp đơn, check email của Bạn được gửi từ Tuyển dụng SHB Finance – Thư xác nhận ứng tuyển thành công để nắm thông tin và hướng dẫn tuyển dụng tại SHB Finance.

Chúc Bạn Sức khỏe và Thành công.

Job Benefit

  • Laptop
  • Insurance
  • Travel opportunities
  • Allowances
  • International Travel Opportunity
  • Uniform
  • Incentive bonus
  • Health checkup
  • Training & Development
  • Salary review
  • Seniority Allowance
  • Sport Club

Job Description

  • Aking responsibility for constructing and automating periodic reports tracking the approval and rejection rates of each product and region, and analyzing detailed reasons for rejection. Evaluating the portfolio using various analytical techniques (Vintage, Was-Is, Flow rate, Lag/Coin delinquency, etc.).
  • Assisting in managing the quality of the credit portfolio, establishing risk analysis reports for the credit portfolio, including: Business performance, application assessment, approval results; Credit quality status, credit risk, and non-performing loan quality; Provisioning levels and loss ratios; Other risk reports as assigned.
  • Analyzing data to support the development/modification of credit policies and product policies.
  • Regularly monitoring the quality of the portfolio, conducting in-depth analyses related to risk, and proposing appropriate credit risk management solutions.
  • Performing calculations for KPI measurement indicators and calculating incentives for teams within the appraisal and debt collection center.
  • Participating in debt classification and preparing provisioning reports, reports for the State Bank, and information reports for credit institutions.​

Job Requirement

A. Skills, Knowledge, Experience

  • Qualifications: Bachelor’s degree or higher, or an equivalent degree in a related field involving data, such as Applied Mathematics, Statistics, Econometrics, Banking and Finance, Information Management, Operations Research, etc.
  • Experience: At least 3 years of experience in portfolio report analysis or similar fields.
  • Language Proficiency: Good reading and writing skills in English.
  • Understanding of Products, Services, and Policies: Knowledge of consumer finance products and services.

B. Competency and Professional Skills

  • Skill Requirements: Proficient in using query languages and data processing tools such as SQL, Python, etc.
  • Proficient in report development software: Advanced skills in Excel, Power BI, etc.
  • Experience working directly with portfolio quality control metrics: Familiarity with metrics such as Vintage, Was-Is, Delinquency, Flow Rate, Lag/Coin Delinquency.
  • Data Analysis: Ability to analyze data to support the development/modification of credit policies and product policies.
  • Experience in implementing loan classification reports, provisioning reports, SBV reports, and information reports for credit institutions.

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