
Strategic Portfolio Risk & Forecasting Lead
Hyundai Capital, Irvine, California, United States, 92713
A prominent automotive finance company in California is seeking a Portfolio Risk Manager to manage portfolio analytics and credit losses. The ideal candidate will have 5–7 years of experience in Risk Management, preferably in the automotive finance sector, and possess strong quantitative analysis skills. Responsibilities include leading portfolio development, calculating provisions, and managing audits. The position offers competitive pay and benefits, promoting a diverse and inclusive workplace culture.
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