ZestMoney , Credit Risk Analyst , SQL

  • 0-2 yrs
  • Not Disclosed

Job Description

The Portfolio Risk Management team comprises risk management professionals who work on ZestMoney risk oversights and management. We play a primary role in safeguarding and minimizing losses by being the gatekeeper of the state of the business and working with business units including Growth, Collection, Credit Strategy, and Analytics to make respective business changes. Today, ZestMoney is in a growth phase, challenging the status quo and relentlessly driving toward strategically sound growth and innovation. Portfolio risk management is at the heart of much of this workAbout the Program :Full,time campus hires will participate in a structured development program. Some key elements of the program include :1. Ongoing training and development, coaching and mentoring, and planned assignments to accelerate your learning and professional growth2. Cross,functional projects which increase your knowledge and network across the enterprise3. Dedicated program managers to guide you through the first year of your career with ZestMoney4. Engagement across all levels of the organization from employee resource groups to executive leaders What are we looking for in you?1. Strong quantitative, analytical, problem,solving, and conceptual skills 2. Strong interpersonal, leadership, and communication skills3. The ability to work in a dynamic, collaborative environment Preferred Qualifications :1. Must be enrolled in an accredited university program leading to at least a bachelor's,master's degree (IITs, NIT, IISc) 2. Must have a minimum of an 8.0 CGPA on a 10.0 Credit Grade Point Average scale, Hands,on in using MS office suites like PowerPoint, Excel 3. Beginner to Intermediate skills in data analysis and data visualization tools like SQL, and Python, C++