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Senior Portfolio Analyst

Job in Daerah Khusus Ibukota Jakarta, Jakarta, Indonesia
Listing for: Kredivo
Full Time position
Listed on 2026-09-10
Job specializations:
  • Finance & Banking
    Risk Manager/Analyst, Financial Analyst, Financial Advisor / Consultant
Salary/Wage Range or Industry Benchmark: 18000000 - 32000000 IDR Monthly IDR 18000000.00 32000000.00 MONTH
Job Description & How to Apply Below
Location: Daerah Khusus Ibukota Jakarta

At Kredivo we are building the future of financial services that are fast, cheap and widely accessible, wrapped up in a beautiful UI/UX. As we are growing bigger, we are looking for young and passionate individual with data-oriented decision mindset to be an integral part of Risk & Analytics Team. We are looking for a Senior Executive for our Portfolio Risk & Analytics team.

Our team within Kredivo is responsible to set benchmark of risk appetite, set benchmark on desired minimum profitability and identify portfolio segments that need pruning/no action/further growth. This opportunity will ensure a fast paced and a highly rewarding career.

About the Job

This is an Individual Contributor Role and you will leverage the data to identify key credit risk indicators and potential risk factors within the loan authorization process and provide actionable insight to the middle management team to mitigate the potential risk that may arise. The day-to-day tasks can include the following (but not limited to):

  • Understand, document and execute the existing loan authorization process
  • Assess the impact of all portfolio actions and suggest changes to loan disbursal risk criteria
  • Monitor the overall portfolio of Kredivo products w.r.t. key risk indicators like early warnings on repayment behaviour, flow rates, 90+ DPD losses, revenue and loss coverage, profitability etc.
  • Create ad-hoc reports and work on analysis to aid management on risk decisions
  • Work on ensuring the best practices for reporting and analytics are institutionalized in the team
  • Timely review on key risk indicators and identify potential risk factors if any
  • Setting up early warning triggers for different segments of the portfolio
  • About you
    • Minimum 2-3 years’ experience as Risk Analyst, MIS analyst or data analyst
    • Bachelor’s degree with GPA minimum 3.0 (out of 4.0)
    • English conversational proficiency is a must
    • Strong working knowledge of SQL and Excel is a must
    • Strong Analytical skills, high comfort with numbers and ability to put attention to details as demonstrated from previous work experience / projects
    • Comfortable working independently in a dynamic and fast-paced environment
    • Basic programming skills in Python is preferred but not mandatory
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    Position Requirements
    10+ Years work experience
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