Data Analyst, FinTech
职位亮点
- Master understanding of Python, VBA language
- Design and develop responsive risk control models
- Able to independently use a variety
职位描述
Job responsibilities.
1. Responsible for the planning and construction of financial risk control model system.
2. Design and develop responsive risk control models according to actual risk control scenarios; such as anti-fraud model, credit scoring model, customer credit model, credit model, credit decision model, etc.
3. Responsible for the company's data application and analysis, mining the data analysis needs of business development, sorting out and formulating relevant data analysis reports.
4. Responsible for risk indicator data optimization and tracking analysis, in-depth analysis of risk warning abnormalities, and provide corresponding solutions and policy recommendations.
5. Responsible for monitoring and researching relevant policies, business products, model application performance, developing monitoring indicators, and conducting risk assessment of business.
Job Requirements
1. College degree or above, majoring in finance/computer/mathematics/statistics or other related majors.
2. More than three years of experience in data analysis and data mining in the Internet industry or financial industry, with experience in new Internet financial companies preferred.
3. Able to independently use a variety of data mining statistical software: R/Python/SQL/matlab/octave/SAS, etc.
4. Master understanding of Python, VBA language.
5. Proficient in machine learning or deep learning and other related fields, and have practical experience in model building and tuning.
6. Good communication skills and strong logical analysis ability.
All applications applied through our system will be delivered directly to the advertiser and privacy of personal data of the applicant will be ensured with security.
工作种类 | |
工作地区 | 上环 |
教育程度 |
学士
|
技能 | SQL / Python |
受雇形式 | 全职 |
行业 | 资讯科技 / 电子商务 |