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About this job


• Develop portfolio management strategies to support student loans including reduction of first pay defaults, and risk mitigation strategies to address high risk accounts.
• Explore and develop strategies using non-traditional data sources.
• Monitor portfolio performance, identify risk trends, and recommend course corrective solutions.
• Coordinate monthly student book publication and scorecards, and develop presentations to senior management.
• Work independently in leading projects and be able to communicate effectively with a diverse group of individuals.
• Maintains a high level of understanding of competency in statistical and analytical principles, tools and technique, including knowledge of UNIX, programming skills in SAS and other statistical software.
• Analyzes and interprets data to make conclusions on portfolio credit recommendations
• Promote a risk-aware culture, ensure efficient and effective risk and compliance management practices by adhering to required standards and processes.

Qualifications

To qualify, you must have the following:
* Bachelor’s Degree (quantitative discipline) required
* Master’s degree preferred
* High degree of proficiency with statistical software (SAS, SQL)
* Ability to work well with minimal direction. Demonstrated problem solving, decision making and leadership skills
* Minimum 2-4 years professional experience in financial services
* Proven team player with excellent communication skills and ability to work in a collaborative environment
We are an Equal Opportunity Employer and do not discriminate against any employee or applicant for employment because of race, color, sex, age, national origin, religion, sexual orientation, gender identity, status as a veteran, and basis of disability or any other federal, state or local protected class.