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Sr. Risk Analyst
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Full-time
- The Sr. Risk Analyst will be responsible for developing strategies to optimize consumer strategy, primarily marketing and risk strategies with the intent to maximize unit economics, reduce defaults (losses) and increase the scale of the portfolio.
- Establish, maintain, and revise underwriting strategies by conducting statistical and other data mining analyses on data including portfolio history, credit & alternate data and credit & fraud models developed by decision sciences team.
- Establish, maintain, and analyze various Key Performance Indicators that reflect the unit economics and underlying portfolio profitability such as Revenue & Yield rates, Charge-offs and loss rates, Recovery, Customer Acquisition Costs (CAC) and other relevant metrics.
- Collaborates with internal business teams including marketing, product, decision sciences, and technology teams to implement the relevant portfolio strategies including but not limited to marketing and underwriting strategies, credit policy and loss mitigation strategies.
- Collaborates with the credit, marketing, product and loss mitigation teams to develop long term portfolio strategies.
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