PORTFOLIO AND COLLECTIONS ANALYTICS MANAGER
£70,000
GREATER LONDON/KENT
A successful lender in the UK who have been praised as a top growth FinTech in Europe over the past 5 years are looking to add an individually contributing analytics manager to their credit risk team. They have a lot of interesting projects coming through the pipeline and are offering a competitive salary on the market.
THE COMPANY
This financial institution is based in Greater London/Kent. They are a fast-paced FinTech lender who provide a secured lending product on the consumer side.
THE ROLE
The role is a manager position individual contributing to look after their portfolio and collections strategy
Day to day responsibilities include but are not limited to:
- Utilize analytics to improve and innovate arrears collections strategies.
- Offer constructive feedback to and influence customer management teams.
- Identify and integrate new data sources with Technology and Data teams to enhance collections.
- Develop and evaluate new collections scorecards with data scientists.
- Prepare monthly Board reports and materials for Credit Committee meetings.
- Conduct macro modeling to assess impacts on Blue's loan portfolio.
- Review portfolio trends and key performance indicators, performing deep dives as needed.
- Provide risk consultancy to various business areas.
- Report findings to senior management and the Board.
SKILLS AND EXPERIENCE
- Experience working on credit risk strategies, portfolio analytics or collections strategy
- Experience with SQL. Python is a plus.
- A strong university degree in a numerate discipline
SALARY AND BENEFITS
- £70,000 base salary
- Discretionary Bonus
- Pension contribution
- Private Healthcare
HOW TO APPLY
Please register your interest by sending your CV to Shane McWilliams via the Apply link on this page.