- Descrierea firmei
- GE Money
Imagine the Opportunities …
Imagine being part of one of the worlds largest and most respected organizations, a company that employs over 300,000 people in over 100 countries. GE is a diversified technology; media and financial services company dedicated to creating products that make life better - from aircraft engines and power generation to financial services, medical imaging, television programming and plastics. GE Money is a dynamic and global leading provider of banking and financial services to over 118 million consumers, retailers, and auto dealers in over 50 countries. GE Money’s EMEA (Europe, Middle East and Africa) operations include businesses in over 23 countries across the region employing more than 23,000 people.
GE Money Romania, comprised of Domenia Credit, Estima Finance and Motoractive, offers a broad range of financial products, including mortgages, home equity loans, sales finance, auto finance, personal loans and credit cards. - Descrierea postului
- Job Purpose: Building reports and Analysis of the loan portfolio, development of tools, methodologies and procedures to manage the risk of the portfolio
Main Objectives & Activities:
- Regular and ad-hoc monitoring of the portfolio
- Alerting on unusual worsening trends and events
- Working with raw data and analyzing it
- Cooperating with other team members and employees from other departments in order to better understand the portfolio
- Reporting on the findings, presenting suggestions for solutions - Cerinte
- - University Degree in a quantitative subject
- No experience necessary;
- Foreign languages: Medium to Advanced English;
- Analytic Skills;
- Ability to work under pressure and stress;
- Team worker;
- Knowledge of programming languages (SQL, Visual Basic for Excel);
- Excellent knowledge of MS Office. - Oferta (bonusuri, beneficii)