Portfolio Risk Manager

Job description

Company Description

At Renmoney, we believe finance should be simple, useful, and accessible to everyone. We leverage data-driven insights to build useful financial products for personal and business needs, such as convenient loans, savings plans, and lucrative investments.

Role Description

This is a full-time remote role for a Portfolio Risk Manager. The Portfolio Risk Manager will be responsi
ble for daily monitoring and managing portfolio risks, conducting market risk assessments, and utilizing analytical methods to optimize financial service offerings. The role involves evaluating financial data, creating risk management strategies, and ensuring compliance with regulatory requirements.

Qualifications
• Proven experience in risk management
• Advanced skills in Excel/Tableau
• Basic SQL knowledge as a business user
• Fluent English
• Foundational understanding of scoring models, machine learning, and AI

Preferred Qualifications:
• Experience with fintech loan products (PDL, installment, cards)
• Hands-on experience in scoring model development (R, Python, SS, SPSS, etc.)
• Technical or mathematical education (statistics, probability theory)

Benefits:
• Flexible and completely remote full-time role
• The opportunity to work in an innovative fintech company with a global reach
• Engaging tasks and the chance to influence the development of cutting-edge products
• The opportunity to grow your skills in a global, distributed team environment.

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