Responsibilities:
The responsibilities of this role include:
* Management and monitoring of the mortgage portfolio and related insights via risk-based analytics.
* Proactively identify potential high-risk areas and regularly monitor and report portfolio performance to key stakeholders.
* Oversee the development and tracking of mortgage models to ensure they are performing at optimal levels.
* Provide technical, data and portfolio expertise in support of provisioning and stress testing processes.
We are looking for a proactive individual with a strong background in mortgage analytics and automated credit decisioning strategies.
The ideal candidate will have a tertiary qualification in a data science/statistical/mathematical or business-based degree and strong analytical skills.
A proven track record in stakeholder management and people management skills within a data-driven/analytical environment are also essential.