




Job Summary: We are seeking a professional for risk analysis and portfolio management, focused on process supervision, strategic evaluation, and report generation. Key Highlights: 1. Key role in risk analysis and strategic portfolio management. 2. Opportunity for growth and development in the financial sector. 3. Participation in negotiations and preparation of executive reports. Join a leading financial services company in Mexico! We are a company specialized in credit administration and mortgage asset management, recognized for our innovation, stability, and results-oriented approach. Today, we seek talent eager to grow and develop with us. Position: Risk Analyst / Portfolio Administration Manager What are we looking for? Professionals with a background in Finance, Economics, Business Administration, Business, or related fields, distinguished by analytical thinking, attention to detail, and organizational ability. What will you do? Supervise and monitor portfolio-related processes. Analyze property appraisals and valuation estimates. Evaluate cases for strategic decision-making. Coordinate agendas and follow-up for risk committees. Monitor special conditions and discounts applied to portfolios. Analyze data and generate key operational reports. Maintain updated internal databases and systems. Support internal audits and processes. Participate in negotiations and drafting of executive reports. Assess collection quality and portfolio performance. Contribute to tax cost and reserve analyses. What we offer: Base salary of $17,000 gross per month Annual performance bonus Statutory benefits from day one Additional benefits after 3 months: Major Medical Expense Insurance Life Insurance Meal vouchers Working Hours: Monday to Thursday: 8:00 AM – 5:00 PM Remote work on Fridays. -Requirements- Minimum education: Higher education – Bachelor's degree years of experience Age: between 23 and 45 years Keywords: analyst
