Responsibilities
- Review existing data collection and reporting workflows to identify operational bottlenecks and risks
- Streamline report compilation processes by automating Excel workflows and enhancing data reconciliation checks
- Maintain accurate documentation for standard operating procedures regarding regulatory and management reporting
- Compile routine statutory returns and internal credit risk reports within strict scheduled timelines
- Execute daily and monthly data quality checks across loan portfolios, risk metrics, and ledger feeds
- Collaborate with Finance, Risk Policy, and Technology teams to resolve data discrepancies prior to sign-off
- Advanced proficiency in Microsoft Excel Pivot Tables
- Strong preference for hands-on scripting capabilities in Python, R, VBA, or SQL
- Exceptional attention to detail with zero-error tolerance for numerical data
- Strong time management skills to consistently meet recurring, deadline-driven filing cycles
- Professional written and verbal communication capabilities
- Fresh graduates are welcomed
