Risk Strategy Manager
Responsabilities:
- Oversee performance and profitability of 1 or 2 portfolios.
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Prepare internal reports and analysis for review by head of risk strategy.
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Document routine processes and provide support for strategy reviews.
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Ensure timely achievement of KPIs for the specific countries.
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Coordinate with GTM teams when rolling out new strategies
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Write succinct and thoughtful documentation that explains recommendations
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Use SQL and R or Python for data extraction and manipulation.
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Work with Data Science to implement ML and AI models.
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Use A/B Test recommendations into policies
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Write detailed documentation explaining recommendations.
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Own and manage risk KPIs for designated portfolios.
Qualitications:
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Experience in risk strategy ideally within the fintech industry.
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Proven track record in analytics
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Understanding of statistical tools and methods, and experience working with large data sets.
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Proficiency in SQL, R, or Python.
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Strong documentation and communication skills, capable of presenting complex information to key stakeholders.
Specialized Knowledge:
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Advanced Data Analysis: Expertise in using SQL, R, or Python to extract and manipulate data, create models, perform analysis, and generate forecasts.
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Risk Modeling: Proficient in developing and implementing predictive models to manage and mitigate risk.
Benefits:
- 100% Company-funded Health and dental and vision discount plan for employees and immediate family members.
- Life insurance.
- Phone finance, Headphone, home office equipment and wellness perks.
- 30 days of Christmas bonus.
- 20 days paid Vacation.
- 50% Vacation premium.
- 13% Saving funds.
- $2,000 MXN monthly grocery coupons.
- $2,000 USD annual Co-working Travel perk.
- $2,000 USD annual Professional Development perk.