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Portfolio Risk Manager

TechBiz Global GmbH
CompanyTechBiz Global GmbH
CategoryFinance
LocationTashkent
RemoteOn-site (inferred)
EmploymentNot stated
LevelManager
SalaryNot stated by the employer
First seen22 Jul 2026 (the employer did not state a posting date)
Last verified7 Aug 2026
SourceEmployer ATS (recruitee)
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Description
At TechBiz Global, we are providing recruitment service to our TOP clients from our portfolio. We are currently seeking a Portfolio Risk Manage r to join one of our clients ' teams. If you're looking for an exciting opportunity to grow in a innovative environment, this could be the perfect fit for you. Job Responsibilities: Managing Credit Strategies: Oversee and pilot retail credit portfolio strategies to ensure their effectiveness and alignment with business goals. Product Development Collaboration: Work closely with the business teams to develop and improve retail credit products, ensuring they meet market needs and regulatory requirements. Credit Portfolio Monitoring: Continuously monitor the credit portfolio to ensure it is performing as expected, identifying any areas of concern or opportunity for improvement. Anti-Fraud and Verification Strategy: Develop and implement methodologies and strategies for fraud prevention and verification processes to protect the bank and customers. Reviewing Current Practices: Assess current lending practices and make recommendations for improvements to mitigate risks and enhance operational efficiency. Reporting and Documentation: Prepare the structure and content for regular reports on portfolio monitoring, providing clear insights and recommendations to senior management. Experience in the Risk Division as a Portfolio Manager for retail credit products. Ideal experience includes: Cash products (priority experience) POS/BNPL (Point-of-Sale / Buy Now, Pay Later products) Car loans Experience in Risk Strategy Development: A significant advantage would be experience in building risk strategies from scratch and launching new products in the market. Target Banks: Experience with banks such as Home Credit (Russia/Kazakhstan), MTS Bank (Russia), Tinkoff (Russia), Alfa-Bank (Russia), Tochka (Russia, not a target but possible), Kaspy (Kazakhstan), and Solva Group (Kazakhstan) is highly desirable. Language Skills: Proficiency in English at a good level is required. Business Negotiation Skills: Ability to negotiate with business units and a strong understanding of the bank's business strategy, including financial concepts like NPV (Net Present Value) and other key performance metrics. Technical Skills: Proficiency in Python and SQL is required. Experience with BI (Business Intelligence) tools would be a plus. What We Offer: A challenging and dynamic work environment with opportunities to contribute to strategic projects. Competitive compensation package and benefits. Professional growth and development within a well-established organization.