O stanowisku
Owning the credit risk portfolio, monitoring its performance and driving risk strategy to maintain healthy asset quality while supporting sustainable lending growth.

Czy do nas pasujesz?
Several years of experience in credit risk management, ideally in consumer lending or fintech
Strong analytical skills with experience using statistical tools and risk modeling
Knowledge of regulatory requirements related to credit risk, including IFRS 9
Ability to translate complex risk data into clear business recommendations
Proficiency in Excel and data analysis tools, SQL is a plus
University degree in economics, mathematics, statistics or a related field
Czym się zajmiesz
Monitor credit portfolio performance, analyzing trends in delinquency, default and loss rates
Develop and refine credit risk policies, scoring parameters and limit frameworks
Conduct portfolio stress testing and regular risk reporting for management and stakeholders
Collaborate with data science, product and collections teams to optimize risk-adjusted outcomes
Ensure compliance with internal risk appetite and external regulatory requirements
Prepare insights and recommendations to support portfolio and pricing decisions
Brzmi jak oferta dla Ciebie?
Do negocjacji · InPost · Warszawa
Na stronie firmy InPost · ~2 minuty