Risk Analytics Manager – JAK100278
- Risk Analysis & Credit Loss Forecasting
- Reports to Head of Credit Policy, Fraud Mgmt., & Risk Analytics Head
- Challenging role within a dynamic environment.
ANZ is accelerating the growth of its business in Asia. ANZ realizes that our greatest asset is our people. That is why we are creating a unique climate of inspiration, leadership, values and great opportunities that will enable the best in market to thrive as part of our diverse team.
As Risk Analytics Manager, you will be accountable for risk segmentation, loss forecasting and scoring to optimize risk return dynamics. More broadly this will include, developing and maintaining a robust credit loss forecasting ensuring Credit risk decision is MIS-based and the score parameter is within acceptable tolerance. You will be responsible for timely and accurate output/service to support risk containment initiatives and optimized risk return decisions while ensuring the optimal usage of scorecard, as well as development, implementation, and calibration of new scorecard. Additionally, you will act as mentor to your team, training and guiding them towards greater goals.
The ideal candidate will be an innovative thinker and an efficient communicator with excellent analytical and presentation skills. Proven experience in working with different and diverse teams is a pre-requisite. Also essential is a good understanding of the credit life cycle and key drivers of performance along with knowledge of financial analysis.
This is an opportunity to undertake a role with development opportunities. With our global head office in Melbourne you will have exceptional opportunity for professional development with a broad range of career paths.
Due to regulatory requirements, this role is only open to Indonesian nationals.
Closing Date: April 23rd, 2009