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13 Oct 2022

Head Risk & Strategy Portfolio at Rosabon Financial Services Limited

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Job Description


Rosabon Financial Services Limited – Award winning Rosabon Financial Services is a member of the Concept Group. Licensed by the Central Bank of Nigeria, CBN on April 22, 1993 and being a long standing member of the Equipment Leasing Association of Nigeria (ELAN), the organization has evolved into Nigeria’s leading Non-Banking Financial Intermediary and Equipment Leasing firm focused on niche and general markets.

We are recruiting to fill the position below:

Job Title: Head, Risk & Strategy Portfolio

Location: Yaba, Lagos
Employment Type: Full-time

Duties and Responsibilties
Lead, Credit Strategy & Portfolio:

  • Lead projects and initiatives in identifying new client’s segmentation opportunities and strategies
  • Perform complex qualitative and quantitative analysis of credit polices to pursue specific financial and credit goals
  • Develop complete business cases for new opportunities, inclusive of financial modeling and forecasts
  • Develop or contribute to the development of complex predictive analytical models (risk, loss, decision)
  • Evaluate new risk products (data-only or data-driven solutions) offered by external vendors or partners
  • Drive enhancements to credit decision process and policies
  • Build successful and scalable strategies for variety of loan and leases
  • Perform trend, regression analysis and key metric forecasting
  • Manipulation of large data to extract key insights using statistical concepts
  • Clear and concise communication of key insights into actionable recommendations
  • Management of projects at various stages from conception to execution
  • Ensure projects are in line with management plans and timelines
  • Provision of leadership to the strategic and data analysis team
  • Any other assigned task following business needs in the strategy and portfolio unit

Job Requirements

  • Candidates should possess a Master’s Degree in Finance, Economics, Mathematics, Industrial Engineering, Statistics or related degree
  • 6+ years of quantitative analytic modeling experience or comparable process management experience
  • 5+ years of Credit or Collections risk management experience, preferably with a non-bank financial sector
  • Advanced skills in Excel, Word, PowerPoint, required.
  • Superior communication, organization and presentation skills desired
  • Project Management experience preferred
  • Experience with credit risk decision engine software and platform solutions.

Application Closing Date
6th November, 2022.






Method of Application

Interested and qualified candidates should send their Applications to: 

[email protected] 

using the Job Title as the subject of the email.




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