Job Overview We are looking for a detail-oriented and analytical Risk Bureau Portfolio Analyst (Unsecured) to support credit risk management and ensure regulatory compliance through accurate and timely credit bureau submissions. This role is ideal for candidates with a strong analytics background and exposure to banking and financial services. Key Responsibilities Ensure accuracy, completeness, and timeliness of credit bureau submissions in compliance with regulatory standards Monitor and validate bureau data for unsecured portfolios Perform data analysis to identify trends, discrepancies, and potential risks Collaborate with internal stakeholders (Risk, Compliance, Operations) to resolve data issues Develop and maintain reports and dashboards using Excel, R, or Python Support audit and regulatory reviews related to bureau reporting Present findings and insights to management and relevant teams Qualifications Bachelor's degree in Finance, Economics, Statistics, Data Science, or related field 1-2 years of relevant work experience Background in banking or financial services is preferred Experience with credit bureaus or risk reporting is an advantage Proficiency in R or Python for data analysis Advanced MS Excel skills , including Macros Strong analytical and problem-solving skills Excellent oral communication and presentation abilities Why Join Us Opportunity to work in a fast-paced financial environment Exposure to risk management and regulatory processes Career growth within analytics and banking domain Work Setup: Fully onsite in Pasig City