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Are you someone who enjoys collecting data, organizing it, interpreting it, and reporting it to management so that crucial choices may be made? Do you have the necessary communication, creativity, attention-to-detail, organization, and time management abilities to succeed in this role?

Your job will be:

  • Perform detailed risk analysis (daily, weekly, monthly, quarterly, annual) including analysis of financial data and ratios 
  • Credit scoring model improvement 
  • Monitoring the portfolio quality based on pre-defined KPIs 
  • New products development, calculation of default rates, recovery rates, early termination rates, encashment coefficient, etc., defining risk parameters and requirements 
  • Risk model improvement 
  • Communication with Credit Bureau 

We require:

  • Bachelor’s degree in Mathematics, Statistics, Economics, Computer Science, MIS, Accounting, Finance or any related field is required 
  • 1-2 years previous experience in Data analysis / Risk / Finance 
  • Advanced quantitative and analytic skills required 
  • Practical knowledge of descriptive statistic 
  • Proficient in Excel, Microsoft Word, PowerPoint 
  • Excellent communication skills, both oral and written 
  • Strong interpersonal, problem-solving skills 
  • Attention to detail with self-discipline and a drive for results

What we can offer you?

  • Competitive Salary
  • Regular Working Hours
  • Fixed Rest Days
  • Good environment for Learning & Development
  • Collaborative Workplace

Adavantage Skills sets

  • Knowledgeable on SQL/Excel VBA, data modeling, or querying databases 
  • Knowledgeable on scorecard development 



Employment Type



Sales, Marketing, Business, Insurance


College graduate