Город: Москва
З/п: обсуждается с кандидатом
Опыт работы: От 1 года до 3 лет
Отзывы о компании Представительство RCI Banque в России

Responsibilities:


  • Monitoring and analysis the quality of loan portfolio. Key risk indicators identification.
  • Regular shareholders reporting preparation and submission to recipients.
  • Bad debt portfolio monitoring.
  • Support the early-warning risk indicator system.
  • Loan portfolio concentration monitoring.
  • Regular portfolio provision rates calculation.

Requirements:


  • Graduated in economics, mathematics or technical specialties.
  • Up to 1 year experience in retail risks or student from the last course of university
  • Fluent English
  • French is advantage
  • Excellent knowledge of MS Office (Word, Excel, Access, Visio)
  • Programming skills are advantage (e.g., VBA, SQL, SAS, etc.)
  • Ability to work with big data volume
  • Knowledge of CBR and IFRS loan-loss provisions requirements
  • Ability to work with many tasks simultaneously
  • High level of pro-activity
  • Team oriented, but high ability to self-work
  • Good communication skills
  • Precise

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