Position Purpose: Identify, analyze, and monitor risks associated with MCA products and portfolios. Develop risk mitigation strategies, conduct portfolio analysis, and ensure compliance with risk management policies.
Job Responsibilities:
Identify and assess risks related to MCA products and portfolios.
Develop and implement risk mitigation strategies.
Monitor portfolio performance and identify potential risks.
Conduct stress testing and scenario analysis.
Prepare risk reports and present findings to management.
Stay informed about industry trends and regulatory changes.
Educational Requirements: Bachelor’s degree in Finance, Economics, Statistics, or a related field.
Experience Requirements: 2+ years of experience in risk management, financial analysis, or a related role.
Additional Requirements:
Strong analytical and quantitative skills.
Knowledge of risk management principles and techniques.
Understanding of MCA products and the financial industry.
Ability to communicate complex information clearly.
Compensation & Other Benefits: Competitive salary, bonus potential, health insurance, paid time off, and opportunities for professional development.
Job Summary
Published on:31 Jan 2021
Vacancy:Not specific
Employment Status:Full-time
Experience:2 to 3 year(s)
Age:Age at most 28 years
Job Location:Dhaka
Salary:Negotiable
Application Deadline: 17 Feb 2021
Risk Analyst
NJ, United States
Administration |
Full-time
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