Risk Portafolio Manager
JobgetherRemotely
pythonsqlfintechunderwriting
Job Description
📋 Description
- Own end-to-end monitoring of the credit portfolio, incl. vintages, losses, originations, NPLs by
- Evaluate and underwrite high-ticket merchant credit facilities, USD 100K–200K+ per facility.
- Define, monitor, and analyze key metrics: losses, yield, profitability, portfolio construction
- Use SQL and/or Python to extract, structure, analyze, and interpret portfolio data.
- Apply statistical reasoning to identify trends, risks, and opportunities across large datasets.
- Collaborate with business teams and engage in client interactions as needed while applying
🎯 Requirements
- Approximately 7 years experience in credit, lending, credit risk, or analytics in a lending
- Background in fintech, payment processor, POS provider, bank, or similar financial institution with
- Hands-on underwriting experience at scale, especially high-ticket merchant credits.
- Strong SQL and/or Python skills for data extraction, structuring, and analysis.
- Solid statistical literacy and ability to interpret risk models.
- Understanding of portfolio economics: loss, yield, profitability, cohort performance, health.
🎁 Benefits
- Opportunity to join a high-impact fintech with regional scale.
- Ownership of tooling, automation, and processes for credit-risk control.
- Exposure to strategic portfolio management and credit decisions.
- Cross-functional collaboration with Latin America teams.
- Exposure to regulatory challenges and embedded finance innovation.
- Fast-paced, growth-oriented environment with strategic influence.
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