What You'll Do
Actively analyze the credit portfolio, connecting various indicators to build an integrated view of performance, risk, and profitability. Develop in-depth studies and analyses related to credit and retail products, and conduct market comparisons, simulations, and scenario analyses to evaluate impacts on key portfolio indicators. Transform complex analyses and large data volumes into clear insights and executive presentations to support strategic discussions.
What We're Looking For
Senior experience in the credit market with deep knowledge of key indicators used in risk and profitability management. Proficiency in indicators such as PDD, portfolio, NPL, and Stage 3, with the ability to interpret their relationships and impacts on the business. Strong analytical profile with the capability to transform data into diagnostics, insights, and recommendations. Knowledge of programming and data analysis using Databricks is required.
Key Skills & Technologies
Additional Information
Experience Level
Senior
Job Language
Portuguese
Employment Type
Full-time
Work Mode
Remote