Not specified (assumed to be hybrid or onsite based on the collaborative nature of the role).
Master's degree in economics or statistics
Strong data analysis skills with excel
Proficiency in powerpoint for presentations
The Portfolio Credit Risk Manager position at ING Belgium involves comprehensive portfolio analysis, credit insights, and strategic decision-making within a collaborative team environment. The ideal candidate will possess strong data analysis skills and a Master’s degree in a related field, contributing to proactive credit management and risk mitigation
Job Summary
You will be a key player in a high-exposure team central to ING Belgium's credit risk management framework.
The role involves analyzing portfolio performance, highlighting economic developments, and providing insights on early warning indicators.
Candidates will work in a dynamic environment offering challenging projects with opportunities for personal and professional development.
Matching Summary
Match Score: 85
The Portfolio Credit Risk Manager position at ING Belgium involves comprehensive portfolio analysis, credit insights, and strategic decision-making within a collaborative team environment. The ideal candidate will possess strong data analysis skills and a Master’s degree in a related field, contributing to proactive credit management and risk mitigation.
Skills & Requirements
Must-have
Master's degree in economics or statistics
Strong data analysis skills with Excel
Proficiency in PowerPoint for presentations
Excellent command of English language
Nice-to-have
Experience with PowerBI and Python
Familiarity with Vortex data tools
Proactive and hands-on approach
Resilience and positive attitude
Key Requirements
Master's degree in economics, applied economics, statistics, or related field