Published

Industry

Accounting, finance, banking, insurance Jobs in Mid-level

5

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Letshego Kenya Ltd.

Portfolio Analyst

Nairobi, Kenya

INKOMOKO

Credit Analyst Manager - Regional

Nairobi, Kenya

Equity Bank Kenya

Fraud Risk Analyst

Nairobi, Kenya

INKOMOKO

Recovery Manager - Regional

Nairobi, Kenya

Standard Bank Group

Relationship Manager - Private Banking

Nairobi, Kenya

CARE International

CLOSED

Regional Head Of Finance - ECA

Nairobi, Kenya

iPay

CLOSED

KYC & AML Officer

Nairobi, Kenya

Kenya Deposit Insurance Corporation

CLOSED

Senior Deposit Insurance And Bank Surveillance Officer

Nairobi, Kenya

Kenya Deposit Insurance Corporation

CLOSED

Senior Deposit Insurance And Bank Surveillance Officer

Nairobi, Kenya

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Standard Bank Group

CLOSED

Voice Branch Officer

Nairobi, Kenya

Portfolio Analyst

Closing: May 17, 2024

2 days remaining

Published: May 14, 2024 (2 days ago)

Job Requirements

Education:

Work experience:

Language skills:

Job Summary

Contract Type:

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Education    

  • University degree preferably in Data Science, Statistics, Computer Science, Accounting and Finance

Experience     

  • 3 years working experience in a financial Institution as Business Analyst, or Performance Analyst or Data Analyst, or Portfolio Analyst.


Responsibilities

Education    

  • University degree preferably in Data Science, Statistics, Computer Science, Accounting and Finance

Experience     

  • 3 years working experience in a financial Institution as Business Analyst, or Performance Analyst or Data Analyst, or Portfolio Analyst.


Critical Deliverables Accountabilities and Responsibilities

  • Timely extracts, collate, design and distribute arrears, bucket movement, portfolio performance, and staff productivity reports to various stakeholders.
  • Timely prepare various (scheduled and ad hoc) portfolio reports with appropriate commentaries.
  • Creates a single data point for collections and recoveries activities and ensures data integrity.
  • Provides portfolio insight reports to various stakeholders.
  • Monitors the portfolio of crystallized and potential risks and events (stress testing) as may be appropriate.
  • Consolidates response received from various stakeholders for ease of portfolio understanding and decision making. 


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