Job Description
Risk Analytic & Model Management Staff (Portfolio& Residual Value) (20K-30K) (SDG-50646) <Job Responsibilities> Conduct portfolio management duties, such as generate portfolio management reports, credit risk analysis and additional report Coordinate with relevant parties to conduct Portfolio Analysis and prepare policies and procedures for portfolio risk management Develop/ Monitoring RV (Residual Value) Model, Profitability Model, Forecasting Portfolio Performance etc. Prepare and support jobs or projects as assigned.
Job Requirement
<Necessary Skill / Experience > Thai nationality , Male/Female, age 22-30 years old Bachelor degree or higher in Statistics, Mathematics, Finance, Economics or related fields. High-level proficiency in MS Office especially in Excel and Access. Good command of English. Strong analytical thinking and decision making skills. <Preferable Skill / Experience> 1 year experience in risk management/Portfolio management areas will be advantage Having knowledge in Car loan business would be advantage. Having knowledge in risk management tools will be preferable, such as SPSS, SAS, Python and Program R etc. Languages skills English: Conversational Level Japanese: None Workplace Area: MRT Silom / MRT Lumpini, Bangkok Working Hour: 8:00-17:00(Mon-Fri) About the Benefits Salary: 20,000–30,000THB About the company Products: Leasing Service Business Type: Leasing / Consumer Credit