Portfolio Credit Risk Manager

282

Not specified (assumed hybrid)
Master's degree in economics or statistics
Strong data analysis and presentation skills
Proficiency in powerpoint and excel
The Portfolio Credit Risk Manager position at ING Belgium involves comprehensive portfolio analysis and proactive credit management within a high-exposure team. The role requires strong analytical skills, experience with data visualization, and effective communication of insights to stakeholders

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 forward-looking perspectives to actively steer business developments within risk appetite 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: 85

The Portfolio Credit Risk Manager position at ING Belgium involves comprehensive portfolio analysis and proactive credit management within a high-exposure team. The role requires strong analytical skills, experience with data visualization, and effective communication of insights to stakeholders.

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
  • Strong analytical and problem-solving skills

Work Rights

Not specified

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