MD Finance — це міжнародна продуктова FinTech компанія, яка займається фінансовими проектами на різних ринках і сегментах ринку. Наші основні напрямки діяльності включають онлайн-кредитування, KYC, продукти LaaS (програмне забезпечення для кредитування як сервісу) та рекламні технології.
10 червня 2025

Risk manager (вакансія неактивна)

Cyprus, віддалено

Are you a data-driven thinker with a strong analytical mindset and deep understanding of credit risk?
Join our growing FinTech team to play a key role in shaping and securing the entire credit lifecycle.

As a Risk Manager, you will have a direct impact on strategic decision-making, portfolio quality, and business performance. From developing scoring models and decision rules to conducting A/B tests and supporting cross-functional teams — you’ll be at the core of our risk management engine.

Main Responsibilities:

  • Full business support from the risk management side
  • Decision-making system: support of existing rules and tools, development and implementation of new ones, testing of changes
  • Implementation of scoring models in the decision-making process: implementation, rules for using scores, assessment of the effectiveness of models, decision-making on the appropriateness of use/necessity of building a new one
  • Conducting A/B tests: criteria, sampling, analysis of results
  • Analysis of the loan portfolio, operational and risk indicators, and other indicators related to the credit process (conversions, reject/approval rate, etc.)
  • Ad-hoc analysis in various directions (marketing, collection, etc.), presentation of results
  • Work with databases using SQL
  • Search for external data and service providers that would be useful for the business from a risk management perspective: search, feasibility analysis, communication, integration into the process, usage rules, results analysis
  • Writing and updating internal documents (processes, rules, policies, underwriting and verification instructions)
  • Communication and support of other departments of the company (sales, marketing, legal, underwriting, product, IT and others) on risk management issues and to achieve the goals of the company as a whole and the risk management department in particular

Professional Qualifications:

  • Experience in credit risks of individuals (bank, microfinance, pdl) from 3 years
  • Experience in working with large volumes of data
  • Knowledge and practical use of SQL
  • English language at the intermediate level

What We Offer:

  • Join a fast-scaling FinTech company where your decisions shape the business and your contributions truly matter.
  • Attractive salary package aligned with your experience and performance, plus performance-based incentives.
  • Enjoy 20 vacation days, full 100% sick leave compensation, and a supportive, people-first culture.
  • Comprehensive medical coverage to keep you and your family protected.
  • Work in an international, agile team with ambitious goals, modern tools, and a strong sense of purpose.