Core Responsibilities

Lead the comprehensive analysis of the credit portfolio, including origination, performance, and recovery strategies. Define and evolve credit policies, pricing, and risk mitigation strategies while ensuring alignment with regulatory metrics and business objectives.

Requirements

Requires a degree in Finance, Economics, Actuarial Science, or Mathematics, with a postgraduate degree being desirable. Candidates must have over 6 years of experience in credit risk within banking or fintech and advanced proficiency in SQL or Python.

Additional Information

Experience Level

5-10

Job Language

Spanish

Work Mode

On-site