
Loan Portfolio Management Analyst & Reporting Expert
- أبو ظبي
- دائم
- دوام كامل
- - Collaborate with cross functional teams to develop and enhance analytical models for loan valuation, performance measurement (NIM, NII) and risk measurement (RWA, ECL). Understanding of these concepts is mandatory - Highly competent in Data collection, Data cleansing and Preprocessing, Exploratory Data analysis (EDA), Feature engineering, modelling, Evaluation and interpretation and communication. - Conduct in-depth analysis of the Global corporate finance Loan portfolio, assessing risk, performance and identifying opportunities for optimization. - Utilize advanced data analytics techniques to extract meaningful insights, trends and key drivers impacting the loan portfolio. - Develop and maintain dashboards and reports to communicate portfolio metrics and KPI's to key stake holders. - Stay abreast of market trends, regulatory changes, and industry developments to ensure portfolio remains aligned with strategic objectives. - Prepare comprehensive reports and presentations to communicate findings and recommendations to LPM stake holders and management. - Proficiency in Excel and Power BI is a must - Problem Solving - Thinks ahead, anticipates questions, plans for contingencies, finds alternative solutions, and identifies clear objectives. Sees the big picture and effectively analyses complex issues
- -8 to 10 years of experience in Loan portfolio management. -Banking experience is a must. - analytical models for loan valuation, performance measurement (NIM, NII) and risk measurement (RWA, ECL) -Data collection, Data cleansing and Preprocessing, Exploratory Data analysis (EDA), Feature engineering, modelling, Evaluation and interpretation and communication. -Proficiency in Excel and Power BI is a must . -Global corporate finance Loan portfolio, assessing risk, performance.