Job Details

Portfolio Risk Analyst - Asset Finance

London, Greater London, United Kingdom, Permanent

Posted: 23 hours ago


Portfolio Risk Analyst - Asset Finance


Competitive salary and benefits package

Our client is a successful bank backed asset finance company. They are looking for a portfolio risk analyst to join their credit risk team. You will take responsibility for the statistical part of the credit risk department, analysing and evaluating the portfolio, looking at trends and development to enhance the risk offering and support the other company business functions.


Plan and assist in the delivery and testing of data marts to provide clear data over the portfolio and allowing for further analysis
Identify issues within the portfolio and use the data to propose solutions
Assess the effectiveness of data sources and data-gathering techniques and improve data collection methods
Create and supply reports to internal stakeholders
Monitoring, measurement, analysis, evaluation and reporting of risks. Monitoring, development, and support of implementation of the new processes to improve data quality
Finding opportunities to use datasets across other functions in the organisation
Provide support to the risk and collections departments in the form of portfolio data collation and trend analysis and/or Market Data Experience:

Excellent analytical and problem-solving skills
Experience in database interrogation and analysis tools, such as Hadoop, SQL and SAS
Experience in VBA or with exceptionally advance Excel skills
Ideally experience of working in the leasing and asset finance industry with knowledge of the various products and types of funding facilities
Exceptional communication and presentation skills in order to explain the mechanics behind data analysis
Ability to deliver under pressure and to tight deadlines, and planning /time management skills
Able to work effectively as an individual and a team player

Job Details

London, Greater London, United Kingdom