Assist in consolidating data from multiple sources to create integrated views that can be used to drive data-driven risk management decisions
Construct reports to monitor key performance indicators to identify and evaluate portfolios with higher default and comes up with risk mitigation plan designed to eliminate or minimize the impact of the risk events
Take part in credit policy optimization including but not limited to loan origination, credit limit, tenure and risk based pricing
Work with business team on new market expansion and study the local market with user behavior data to drive consumer lending portfolio & profitability
Requirements
Bachelor's degree or higher in Mathematics, Finance,Statistics, Economics, or other relevant fields
Excellent data analytics skills is a must
Self-motivated and comfortable with ambiguity
Proficient in SQL and Python
Work well with cross-functional teams in a fast-paced environment
Full-time interns preferred (3-6 months)
Part-time interns who are able to commit at least 3 days a week are also welcomed to apply