Senior Risk Manager - Portfolio & Credit Strategy
Openbank México
Senior Risk Manager – Portfolio & Credit Strategy
Buscamos un perfil estratégico, analítico y orientado a resultados que lidere el diseño, implementación y monitoreo de estrategias de administración del portafolio de crédito. Esta posición será clave para impulsar el crecimiento rentable del negocio, optimizar la rentabilidad ajustada por riesgo y fortalecer la toma de decisiones mediante el análisis de datos y el cumplimiento del marco regulatorio.
¿Qué harás?
- Diseñar estrategias de incrementos y decrementos de líneas de crédito para optimizar el desempeño del portafolio.
- Monitorear indicadores de riesgo y desempeño, como Roll Rates, Vintages, FPD, SPD, TPD, IMORA y NCL, para identificar tendencias y oportunidades de mejora.
- Participar en el cálculo y seguimiento de reservas regulatorias y provisiones conforme a la normativa aplicable.
- Ejecutar pruebas de estrés (stress testing) y análisis de escenarios para evaluar el impacto de condiciones adversas sobre el portafolio.
- Desarrollar dashboards ejecutivos, reportes MIS e indicadores para apoyar la toma de decisiones de la alta dirección.
- Colaborar con las áreas de Crédito, Cobranza, Finanzas y Producto en iniciativas orientadas a optimizar el riesgo y la rentabilidad.
- Proponer mejoras a las políticas y estrategias de crédito con base en el análisis de datos y el comportamiento del portafolio.
¿Qué buscamos?
- Licenciatura en Actuaría, Finanzas, Economía, Ingeniería, Matemáticas o carrera afín.
- Deseable Maestría y/o certificaciones en Riesgos o Analítica.
- + 10 años de experiencia en riesgo de crédito y administración de portafolio.
- Experiencia en productos como tarjetas de crédito, préstamos personales o créditos de nómina.
- Dominio de SQL, SAS, Python o R, Excel y Power BI.
- Deseable experiencia con Athena (Presto SQL) y QuickSight.
- Conocimiento de la regulación aplicable de la CNBV, NIF, provisiones y reservas.
- Experiencia en administración de portafolios, stress testing y rentabilidad ajustada por riesgo.
¿Qué valoramos?
- Pensamiento analítico y capacidad para interpretar información compleja.
- Visión estratégica para impulsar iniciativas de negocio.
- Orientación a resultados y mejora continua.
- Habilidades de comunicación ejecutiva para presentar análisis y recomendaciones.
- Enfoque práctico (Hands On) y capacidad para trabajar de manera colaborativa con equipos multidisciplinarios.
Si te apasiona desarrollar estrategias de riesgo, optimizar portafolios de crédito y generar impacto a través del análisis de datos, nos encantará conocer tu perfil.
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