We are seeking an experienced and strategic Global Monitoring Risk Manager to lead the Risk Analysis function across all global locations. In this role, you will establish and oversee a centralized monitoring framework that ensures comprehensive oversight of credit, fraud, and collections risks. You will be responsible for continuously tracking portfolio performance, identifying early warning signals, and driving timely corrective actions to safeguard business outcomes.
As the Global Monitoring Risk Manager, you will directly lead and develop a high-performing team of analysts, fostering a culture of analytical curiosity, innovation, and accountability. Reporting directly to the Chief Risk Officer, you will play a key role in shaping the company’s global risk management strategy and delivering measurable business impact. Responsibilities Key Responsibilities * Portfolio Monitoring & Early Warning * Build and maintain a group-level risk monitoring framework, covering credit, fraud, and collections KPIs * Define thresholds and triggers for early warning indicators, ensuring proactive interventions before risks materialize * Ensure visibility of trends through dashboards and regular reporting to C-level audiences
Leadership & Team Management * Manage and mentor the members of the Risk Analysis function (Fraud DA, country risk managers, investigative DA, etc.) * Drive clear prioritization of tasks aligned with CRO directives and urgent business needs
Ad-Hoc Risk Response * Oversee urgent deep-dive investigations into anomalies, portfolio shifts, or fraud spikes * Partner with local Country Risk Managers to contextualize risks and recommend market-specific interventions
Process & Governance * Standardise risk monitoring processes across markets, ensuring consistency and comparability * Establish a clear weekly/monthly cadence of risk reviews with CRO and Country Risk Managers * Collaborate with collections, finance, and product teams to align monitoring insights with operational execution
Requirements * 5+ years of experience in risk management, portfolio monitoring, or credit analytics in fintech or financial services * At least 3 years in a managerial/leadership role, with a proven track record of developing teams and managing analysts * Strong technical background: SQL, Python, and BI dashboarding tools * Deep understanding of digital lending portfolios in emerging markets (repayment cycles, collections dynamics, fraud tactics) * Excellent stakeholder management skills; able to influence at both executive levels and operational levels * Strong communicator — able to translate complex risk data into clear, actionable insights
What we offer * Competitive salary and benefits package * Medical insurance * Top equipment kit * Full Remote * Collaborative and innovative work environment * Career growth and development opportunities * A chance to work with a talented and driven team of professional
About the project This mission-driven fintech is reshaping financial access in emerging markets through advanced machine learning, behavioral analytics, and real-time decision engines. Its mobile-first platform delivers secure, data-driven credit services to users traditionally excluded from banking — no shortcuts, just smart technology and transparency. Designed for scale, the product integrates seamlessly with mobile payments and supports thousands of concurrent users. You’ll join a team solving complex challenges with real social impact.