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8 часов назад

Risk Analytics Lead (Fintech)

Формат работы
hybrid
Тип работы
fulltime
Грейд
lead
Английский
c1
Страна
Mexico/Colombia/Brazil
Вакансия из списка Hirify.GlobalВакансия из Hirify Global, списка международных tech-компаний
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Описание вакансии

Текст:
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TL;DR
Risk Analytics Lead (Fintech): Building and governing credit risk models, scorecards, and risk data infrastructure across Latin American markets with an accent on model lifecycle management, Model Risk Management, and regulatory alignment. Focus on designing risk data pipelines and feature stores, monitoring and recalibrating models, and translating complex analytics into credit strategy and executive decisions.

Location: Hybrid in Bogotá, Colombia; Mexico City, Mexico; or São Paulo, Brazil. Hybrid work combines office, customer-facing, and home-based work; office presence is expected during ramp-up and when required by the manager.

Company

hirify.global is a B2B fintech providing corporate cards, bill pay, financing, and spend-management infrastructure for businesses across Latin America.

What you will do

  • Design, develop, maintain, backtest, monitor, and recalibrate credit risk models across the full credit lifecycle, including PD, LGD, EAD, ECL, behavioral models, and scorecards.
  • Develop early-warning indicators, portfolio segmentation, concentration-risk analytics, and actionable inputs for Credit Policy and Portfolio Management.
  • Own the Model Risk Management framework, including model inventory, risk classification, validation standards, approval workflows, documentation, and remediation.
  • Partner with Data Engineering to design risk data pipelines, feature stores, reporting layers, data standards, lineage, and quality controls.
  • Build and manage a Risk Analytics team and collaborate with Credit Policy, Credit Desk, Portfolio Management, Compliance, senior leadership, and regulators.

Requirements

  • Degree in Statistics, Mathematics, Actuarial Science, Engineering, Economics, or a related quantitative field.
  • At least 7 years of credit risk analytics experience with ownership of model development, validation, production monitoring, and recalibration.
  • Experience building or managing a Model Risk Management framework.
  • Deep proficiency in Python or R and SQL, plus experience translating analytical requirements into data infrastructure needs.
  • Knowledge of credit risk regulation in at least one market: Mexico's CNBV, Colombia's SFC, or Brazil's BACEN.
  • Fluency in English and Spanish is required.

Nice to have

  • Experience with B2B credit, working capital products, fintech, or high-growth startup environments.
  • Exposure to audits, regulatory reporting, model examinations, MLOps tooling, model monitoring platforms, or feature stores.
  • Experience managing analytics or data science teams and knowledge of Basel credit risk frameworks or IFRS 9 ECL.
  • Portuguese proficiency.

Culture & Benefits

  • Flexible hybrid work model focused on results, with no enforced minimum office days for most roles.
  • Competitive salary and stock options through ESOP from day one.
  • Annual learning budget and internal accelerated development paths.
  • Multicultural, inclusive, values-driven environment with daily exposure to Portuguese, Spanish, and English.
  • High-ownership culture with flexible vacation and opportunities to work with a distributed team across the Americas.

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