Thursday 5 December 2013

Posted Position Title Risk Analyst

1893036
GE Capital
Capital - International


Entry-Level
Risk Management
Risk Analytics
Australia
Richmond
3121
No
The key objective of this position is to contribute to Portfolio Management and the Risk functions by providing information, statistical analysis and recommendations to support, develop and implement risk activities. Undertaking this work to successfully support GE Consumer Finance ANZ business strategies to build profitable business growth.
• Perform analysis to identify potential strategy improvements to areas of prospecting, new application, account management, fraud prevention, collections, recoveries and debt sale.
• Conduct analysis to determine impacts of portfolio strategy changes to the above-mentioned areas
• Overseeing & designing the systems implementation of risk strategy changes
• Provide regular Portfolio Analysis/Reviews to assess Portfolio performance vs business targets.
• Involvement in scorecard/model development, implementation, testing and monitoring.
• Provide analytical support for cross-business projects
• Undertake any other tasks as requested by Senior Risk Analyst or Risk Manager
• Numerical degree and experience within a numerate discipline.
• Strong statistical and analytical skills.
• Ideally SAS/SPSS/SQL and Data Warehouse experience
• Self motivating with the ability to work both individually and within a team.
• Good negotiation skills.
• Good presentation skills and experience.
• Ability to articulate analytical information accurately.
• Ability to maintain high standards of accuracy and work under pressure to achieve deadlines.
• Create direct links from analysis to P&L impact in the business.
• Project management skills.
• Ability to prioritise workload according to business objectives

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