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Nigeria, Lagos

Credit Risk Analyst at Moniepoint Incorporated | Lagos, Nigeria

Company/Recruiter: Moniepoint Incorporated

Published on: 8:32 PM | Oct 9, 2026 · Closes Dec 9, 2026
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✦ AI Summary

Moniepoint Incorporated is seeking a skilled and analytical Credit Risk Analyst to join our team.

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MorrJobs editorial notes

Our reading of this this opportunity Credit Risk Analyst opening: it is a responsibility-led role with a detailed skills profile role for candidates who can show evidence that matches the responsibilities and requirements published by Moniepoint Incorporated. The notes below are MorrJobs guidance based on this listing, not claims made by the employer.

What to demonstrate

Connect your CV or portfolio to Minimum of 3 years of experience in consumer credit portfolio management.; Relevant academic qualifications in finance, economics, or a related field.. Use one concrete example that shows you can Analyze credit applications and portfolio data to identify and quantify credit risks..

Before applying

Confirm that Nigeria, Lagos and the stated work arrangement suit you, check the closing date of Dec 9, 2026.

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Moniepoint Incorporated is seeking a skilled and analytical Credit Risk Analyst to join our team. This role is integral to safeguarding our financial operations and ensuring sustainable growth through robust credit risk management practices. The ideal candidate will leverage their expertise to assess and mitigate potential credit exposures within our diverse portfolio, contributing directly to the company's strategic objectives.

Job Overview

The Credit Risk Analyst will be responsible for developing and implementing effective credit risk strategies, analyzing credit data, and providing recommendations to manage and reduce risk. This position plays a crucial role in the decision-making process for credit facilities and portfolio performance.

Key Responsibilities

  • Analyze credit applications and portfolio data to identify and quantify credit risks.
  • Develop and maintain credit risk models and methodologies.
  • Monitor credit portfolio performance and report on key risk indicators.
  • Propose and implement strategies to mitigate credit losses.
  • Collaborate with cross-functional teams to ensure adherence to credit policies.

Requirements

  • Minimum of 3 years of experience in consumer credit portfolio management.
  • Relevant academic qualifications in finance, economics, or a related field.
  • Strong analytical and problem-solving skills.
  • Proficiency in data analysis and reporting tools.

What We Offer

  • A dynamic and challenging work environment.
  • Opportunities for professional growth and development.
  • Competitive compensation and benefits package.

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