Related skills
analytics financial modeling r python excelπ Description
- Define standard reporting and leverage portfolio analytics for insights.
- Monitor macroeconomic and credit conditions and translate into actions.
- Drive short- and long-term forecasting and scenario analyses.
- Track delinquency, charge-offs, recoveries, and loss trends to identify risks.
- Conduct competitor and market intelligence to inform pricing and strategy.
- Perform statistical analyses to develop portfolio insights and outlook.
π― Requirements
- Bachelor's degree in Finance, Economics, Mathematics or equivalent.
- 5 years in financial analysis, credit risk, portfolio management or data analytics.
- Strong financial analysis and modeling; build/maintain sophisticated models.
- Data management and cashflow modeling; Excel and PowerPoint; R/Python experience.
- Hybrid role with NY office 2-3 days per week.
π Benefits
- Annual incentive eligibility up to 10%.
- Health, dental, and employer-paid vision insurance.
- 100% company-paid disability and vision insurance.
- Tuition reimbursement up to $5,000 annually.
- Transit reimbursement for work-related travel.
- Paid time off and sick time; 401K with 25% match.
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