Portfolio Credit Risk Manager

ING Belgium

Unknown, Unknown, Belgium
**
Master's degree in economics or statistics
Strong data analysis and presentation skills
Proficiency in powerpoint and excel
** ING Belgium is seeking a Portfolio Credit Risk Manager who will play a pivotal role in managing credit risk through comprehensive portfolio analysis and proactive decision-making. The ideal candidate will possess strong analytical skills, a Master's degree in a relevant field, and the ability to communicate insights effectively within a dynamic team environment. **

Job Summary

  • You will be responsible for comprehensive portfolio analysis and credit insights to fuel proactive credit management across the organisation.
  • The role involves developing clear risk appetite, monitoring actual developments against it, and informing senior management on significant trends.
  • You will join a dynamic, collaborative team of motivated professionals with strong expertise in credit portfolios, economics, and data analysis.

Matching Summary

Match Score: 75

** ING Belgium is seeking a Portfolio Credit Risk Manager who will play a pivotal role in managing credit risk through comprehensive portfolio analysis and proactive decision-making. The ideal candidate will possess strong analytical skills, a Master's degree in a relevant field, and the ability to communicate insights effectively within a dynamic team environment. **

Skills & Requirements

Must-have

  • Master's degree in economics or statistics
  • Strong data analysis and presentation skills
  • Proficiency in PowerPoint and Excel

Nice-to-have

  • Experience with PowerBI and Python
  • Experience with Vortex data
  • Proactive and hands-on approach

Key Requirements

  • Master's degree in economics, applied economics, statistics, or related field
  • Excellent command of English written and spoken

Work Rights

Not specified

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