We seek a candidate who meets the following essential qualifications: a minimum of five years of relevant experience in the field, a bachelor’s degree in a related discipline, and proficiency with industry-standard software tools. The ideal applicant will demonstrate strong analytical abilities, excellent communication skills, and the capacity to work both independently and collaboratively within a team. Familiarity with project management methodologies and adherence to compliance standards are also required. Additionally, the position demands adaptability to evolving priorities and a commitment to continuous professional development.
We seek candidates with a minimum of ten to fifteen years of hands-on experience in credit risk management, ensuring robust oversight of financial risk exposure and strategic decision-making.
Professionals with prior experience in Pay-As-You-Go (PAGO), financial technology (Fintech), microfinance, or consumer finance are encouraged to apply.
Accomplished professionals with a strong command of Portfolio Management and Collections Strategy are encouraged to apply. Candidates should demonstrate a proven ability to optimize asset performance and mitigate risk through strategic oversight. Proficiency in designing and executing targeted collection initiatives to enhance recovery rates is essential. Experience in aligning portfolio objectives with organizational goals while maintaining regulatory compliance is required.
We seek candidates with robust analytical capabilities, including proficiency in SQL, Power BI, and Python.
A master’s degree in Business Administration (MBA) or an advanced qualification in Finance, Economics, Statistics, Risk Management, or a comparable discipline is required.
Proficiency in both English and French is essential for this role.
WHAT YOU’LL DO
Develop and oversee the credit policy framework, ensuring robust governance and adherence to regulatory standards across the organization.
Analyze and oversee the portfolio’s risk management framework, ensuring continuous monitoring and evaluation of risk exposure to safeguard organizational assets. This role involves developing and implementing robust risk analytics strategies to assess potential vulnerabilities and enhance decision-making processes. By maintaining a proactive approach, you will identify emerging risks, quantify their impact, and recommend mitigation measures to align with strategic objectives and regulatory standards.
Formulate strategic plans for collections and recovery initiatives, ensuring alignment with organizational objectives and regulatory requirements. Establish comprehensive frameworks to optimize cash flow and minimize delinquency through targeted approaches. Design and implement recovery methodologies that enhance efficiency and maximize returns while adhering to compliance standards. Collaborate with cross-functional teams to tailor solutions that address varying customer segments and mitigate risk exposure. Monitor performance metrics to evaluate the effectiveness of strategies and make data-driven adjustments as needed to drive continuous improvement.
Provide assistance with investor reporting functions and conduct comprehensive risk evaluations.
Develop and lead high-performing teams across diverse markets, fostering both growth and excellence in team dynamics.
Interested candidates are encouraged to submit their applications without delay by sending an email to contact@iziligroup.com.
Qualifications
BA/BSc/HND , MBA/MSc/MA
Experience Required
10 - 15 years