Risk Manager
Location: Remote
Compensation: Salary
Reviewed: Mon, Aug 24, 2026
This job expires in: 28 days
Job Summary
Reporting to the VP of Risk, the full-time Risk Manager will monitor and optimize credit and fraud risk strategies by integrating complex data sources and conducting statistical analyses in a remote environment.
Key responsibilities
- Monitor acquisition, portfolio, and collection performance focusing on consumer credit and fraud risk
- Integrate complex data sources to generate actionable insights for underwriting and portfolio management
- Conduct statistical analyses and present findings to leadership while partnering with technology teams for strategy implementation
Required qualifications
- Master of Science degree in a quantitative discipline (Statistics, Economics, Business/Data Analytics, or similar)
- 18 months or more of experience building quantitative and statistical models in the consumer financial lending or lease-to-own industry
- Proficiency in Python, R, and Excel for statistical analysis and predictive modeling
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