Risk Analytics- BI

ROLE OBJECTIVE

The incumbent would be the BI specialist with hands-on experience in Power BI. With a techno-functional perspective; he will be responsible for managing mortgage guarantee portfolio analytics and build reports/dashboards for leadership. (S)he will additionally help implement enterprise risk management (ERM) controls in the organization

KEY RESPONSIBILITIES

• Develop the BI platform for the organization, with a strong focus on risk analytics
• Partner in and lead parts of the ongoing project of development of data-mart/ data-warehouse
• Responsible for overall portfolio analysis, monitoring and reporting. Develop dashboard with early warning tool risk metrics and concentration limits for portfolio, products, regions, lenders and other key risk drivers
• Help implement ERM controls in the organization
• Support reporting function in building monitoring reports for business insights
• Coordinate closely with Business Development and Operations functions for democratization of dashboards.
• Adoption of BI tools within organization by a) ensuring dashboard availability to minimize adhoc requirements and manual work; and b) awareness and training so that dashboards are perceived as easy to use

SKILLS

Domain/Technical Knowledge

• Extensive working experience with large, complex data sets including working with cross-sectional and time-series data
• 3+ years of extensive experience using Power BI and other analytical software/ BI tools in dashboard development, data analysis, modeling, and reporting
• Strong knowledge and experience of back-end integrations of BI tools and working knowledge of the DBMS and data warehouses

Behavioral/Others

• Demonstrated ability to communicate effectively with technical and non-technical stakeholders in both presentation and verbal communications
• Strong organizational skills with ability to manage multiple priorities
• High energy levels, “Can Do” attitude and works well under pressure to meet deadlines

EDUCATION

Bachelors/Masters or equivalent degree in a quantitative or management discipline

EXPERIENCE

3+years working as an Analyst in analytical firms in the BFSI domain. Mortgage or credit scoring experience desirable

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