
Luxoft
Loan Portfolio Management Analyst & Reporting Expert
- Permanent
- Abu Dhabi, United Arab Emirates
- Experience 5 - 10 yrs
Report job as expired
Job expiry date: 14/08/2025
Job overview
Date posted
30/06/2025
Location
Abu Dhabi, United Arab Emirates
Salary
AED Undisclosed per month
Experience
5 - 10 yrs
Seniority
Senior & Lead
Qualification
Bachelors degree
Expiration date
14/08/2025
Job description
The Loan Portfolio Management Analyst & Reporting Expert will work with a leading UAE bank, supporting the Loan IQ platform in analyzing and managing a global corporate finance loan portfolio. Responsibilities include developing analytical models for loan valuation, performance measurement (NIM, NII), and risk assessment (RWA, ECL). The role involves comprehensive data handling tasksâcollection, cleansing, preprocessing, exploratory analysis, feature engineering, modeling, evaluation, and interpretation. The candidate will perform in-depth risk and performance analysis, extract actionable insights using advanced analytics, and present findings through dynamic dashboards and detailed reports using Excel and Power BI. This role demands close collaboration with cross-functional teams and requires a proactive approach to problem-solving, anticipating challenges, and staying updated on regulatory and market changes to ensure strategic alignment. Strong analytical and communication skills are essential, and banking experience is mandatory.
Required skills
Key responsibilities
- Collaborate with cross-functional teams to develop and enhance analytical models for loan valuation, performance (NIM, NII), and risk (RWA, ECL)
- Collect, cleanse, and preprocess loan data for analysis
- Perform Exploratory Data Analysis (EDA) and feature engineering
- Conduct in-depth analysis of the global corporate finance loan portfolio to assess risk and performance
- Identify optimization opportunities and key portfolio drivers using advanced analytics
- Develop and maintain dashboards and reports to track portfolio metrics and KPIs
- Monitor market trends, regulatory updates, and industry developments
- Prepare comprehensive reports and presentations for stakeholders and management
- Utilize Excel and Power BI to communicate findings effectively
- Anticipate potential issues, analyze complex data, and provide clear, strategic solutions
Experience & skills
- 8â10 years of experience in loan portfolio management
- Previous banking experience is required
- Proficiency in analytical models for loan valuation, NIM, NII, RWA, and ECL
- Skilled in data collection, cleansing, preprocessing, EDA, and feature engineering
- Experience with modeling, evaluation, interpretation, and results communication
- Strong knowledge of global corporate finance loan portfolios
- High proficiency in Excel and Power BI
- Excellent problem-solving skills with the ability to anticipate questions and provide strategic insights