Mid-level Banking, microfinance, insurance Jobs in Kenya

8

jobs

Letshego Kenya Ltd.

Portfolio Analyst

Nairobi, Kenya

Equity Bank Kenya

Fraud Risk Analyst

Nairobi, Kenya

ICEA Lion

Assistant Manager, Internal Auditor

Nairobi, Kenya

Kenindia Assurance Company Limited

Assistant Manager - Internal Audit

Nairobi, Kenya

Standard Bank Group

Relationship Manager - Private Banking

Nairobi, Kenya

KCB Group

Solution Architect

Nairobi, Kenya

NCBA

Business Analyst

Nairobi, Kenya

Agricultural Finance Corporation (AFC)

Information Systems Auditor (Re - Advertisement)

Nairobi, Kenya

KCB Group

CLOSED

Software Quality Assurance Engineer

Nairobi, Kenya

Get personalised job alerts directly to your inbox!

Equity Bank Kenya

CLOSED

Quality Automation Engineer

Nairobi, Kenya

Portfolio Analyst

Closing: May 17, 2024

2 days remaining

Published: May 14, 2024 (1 day ago)

Job Requirements

Education:

Work experience:

Language skills:

Job Summary

Contract Type:

Sign up to view job details.

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. 


Applications submitted via Fuzu have 32% higher chance of getting shortlisted.