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GE Money

Written By JobsCDC on 18.5.09 | 5:35 PM

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GE Money is a unit of the General Electric Company. It has more than $150 billion in assets and is a leading provider of credit services to consumers, retailers and auto dealers in 49 countries around the world. GE Money, based in Stamford, Connecticut (USA), offers a range of financial products, including private label credit cards, personal loans, bank cards, auto loans and leases, mortgages, corporate travel and purchasing cards, debt consolidation and home equity loans and credit insurance.GE Money Indonesia is currently looking for :

Risk Acquisition Analyst Manager

Based in Jakarta and report to Risk MIS & Acquisition Assistant VP.

Responsibilities:
  • Analyze, develop, implement and communicate Risk strategies, policies, and processes for both secured and unsecured products
  • Conduct monitoring and measure each performance of each parameter set
  • Assist in delivering product review preparation (for renewal and initiation) in timely manner and in cooperation with related functions
  • Involve in policy development and revision for supporting business growth with healthy portfolio
  • Manage and liaise with client/partner in the Credit Control process of the existing and new initiatives/criteria
  • Ensure effective and consistent compliance to establish credit and control procedures
Qualifications:
  • Bachelor Degree in Science/Technical/Finance from well known university
  • Minimum 4 (four) years experience in Manager level in Risk area from Banking or Credit Card industries
  • Proven ability in Database Analysis
  • Good working knowledge of SAS, SPSS, Power Point; Strategy Manager and advanced knowledge of Excel, Word and data warehouse system
  • Good Interpersonal skills
  • Good Project Management skills
  • Self motivated with the ability to work both individually and within a team
  • Possessed High Integrity Value
  • Able to work under pressure and in tight deadline
Risk Account Management - AVP

Based in Jakarta and report to Chief Risk Officer.

Responsibilities Summary:
  • Develop and implement all unsecured portfolios account management strategies, such as: Line assignment, Line management, Authorization etc.
  • Analyzes performance based on the pre-design Risk controls within the product and proactively adjust risk strategy in underwriting or account maintenance policies.
  • Develops champion challenge to improve account management strategy and consistently monitor the performance of all tests. Implement successful test into main strategy.
  • Maintains card profiling based on regular performance reports; oversees for any shift happens and initiates changes for process improvements.
  • Translates monthly performance reports into business perspectives.
Qualifications/Requirements:
  • Minimum Bachelor Degree in Science/Finance/Technical from reputable university.
  • Minimum 10 (ten) years experience in Risk area in Banking or Financing industry with 3 years in credit cards Risk Management.
  • Strong in analytical and problem solving capability.
  • Excellent in communication and project management skill.
  • Good command in English.
  • In depth knowledge with some of the global/regional Risk Policy or Local regulation.
Candidates meet the above requirements, please submit your application letter & CV to : henny.dewi@ge.com



Notes :
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