Öhdəliklər:
- Participating in the development and enhancement of a regulatory framework for identifying, assessing, mitigating, and effectively managing credit risks
- Evaluating credit risks to ensure they remain within acceptable limits before launching new products
- Improving reporting systems (e.g., red flag, scoring, stop loss)
- Utilizing risk management tools (e.g., vintage analysis, migration matrix, FPD) for portfolio analysis
- Applying statistical analysis, financial modeling, and data analytics to measure and forecast credit risks
- Providing recommendations on credit limits and conditions
- Participating in the calculation of provisions in compliance with International Financial Reporting Standards (IFRS) and Central Bank regulations.
Tələblər:
- Bachelor's degree in business, Finance, Economics, or a related field
- Minimum of 3 years of experience in retail banking or a related industry
- Strong analytical skills and experience in data analysis, modeling, and forecasting.
- Proficiency of Oracle SQL, Python, and Tableau
- Fluency in Azerbaijani and English (knowledge of additional foreign languages is an advantage)
- International risk and finance certifications such as CERM, FRM, CFA, etc., are preferred
- Strong interpersonal and communication abilities
Vakansiyalardan daha tez xəbərdar olmaq üçün Telegram kanalımıza abunə olun!