Risk data specialist managing credit strategies and risk for market segment at BBVA. Utilizing advanced programming and statistical analysis for business growth sustainability.
Responsibilities
Gestionar la estrategia de riesgos para el segmento de mercado abierto
Definir e implementar estrategias de otorgamiento de crédito preaprobadas
Monitorear el comportamiento y performance de la cartera de clientes
Ejecutar la atención a las necesidades del negocio
Proponer e incorporar nuevos ejes de información en colaboración con proveedores y áreas transversales
Colaborar con las áreas analíticas compartiendo la visión de negocio
Requirements
Programación avanzada en Python y manejo de lenguajes actuales en AWS
Sólidos conocimientos en estadística aplicada y entendimiento de modelos de impacto
Experiencia en el diseño de estrategias de otorgamiento de crédito y políticas de riesgo
Manejo de herramientas de Google Suite e interés en la integración de Inteligencia Artificial
Escolaridad: Licenciatura en Actuaría o Matemáticas (prioridad por el perfil estadístico), también se considera la formación en Economía
Mínimo 2 años de experiencia en funciones similares de análisis de datos y riesgos
Inglés nivel intermedio (capacidad para participar en sesiones, lectura y escritura)
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