Stripe is a financial infrastructure platform for businesses. Millions of companies—from the world’s largest enterprises to the most ambitious startups—use Stripe to accept payments, grow their revenue, and accelerate new business opportunities. Our mission is to increase the GDP of the internet, and we have a staggering amount of work ahead. That means you have an unprecedented opportunity to put the global economy within everyone’s reach while doing the most important work of your career. The Policy & Portfolio Management team is responsible for overseeing the credit risk of Stripe's portfolio - focusing on Stripe's lending products. The team is based in North America and is composed of curious, driven, and analytical individuals who are passionate about using their skills to shape the future of Stripe. We partner closely with Stripe's treasury, engineering, data science, product, and servicing teams to manage credit risk. About The Role As a key member of the Policy & Portfolio Management team, you will have the opportunity to shape the future of Stripe's credit policy by driving meaningful changes to the risk and underwriting framework. You will leverage Stripe's vast data assets to formulate your recommendations and work closely with our first line team to ensure we are optimizing our strategies through various economic conditions. Responsibilities Analyze model performance and monitor portfolio trends, including market and macroeconomic trends, to identify opportunities for Stripe to reduce potential credit losses Quantify and clearly convey the outcomes and organizational value of data-driven insights to a diverse range of interested parties, from team members to executive management Function as a second line to ensure we are conforming to our credit standards and partner obligations Coordinate and lead stakeholder meetings to pinpoint areas for enhancing the efficiency and effectiveness of operational processes Collaborate with cross-functional stakeholders such as Treasury, Accounting, Product, Data Science, Engineering, and Capital Markets to shape new product development Help scale risk processes by working with partners to design and optimize outsourced workflows, including facilitating stakeholder sessions for process improvement Write data queries and build clear data dashboards to evaluate portfolio performance Minimum Requirements Advanced degree in statistics, economics, decision science, or a related field, with a strong emphasis on quantitative analysis and data-driven decision-making. Proven experience (7+ years) in portfolio management, risk management, audit or lending within the financial services industry Strong analytical, quantitative, and problem-solving abilities, with a rigorous, data-driven approach Proficient at writing complex and efficient SQL queries and spreadsheet tools (e.g., Excel, Google Sheets), with experience building data queries and dashboards Demonstrated ability to collaborate effectively with cross-functional stakeholders and manage deliverables in a fast-paced, unstructured environment Ability to manage multiple stakeholders and work in a complex environment Preferred Qualifications Experience with advanced statistical methods Programming experience i.e. Python, Ruby, Java Superior communication and relationship management skills, with experience in data storytelling Experience with credit scoring models Experience with stress testing requirements and methodologies including CCAR and DFAST This role is available either in an office or a remote location (35+ miles or 56+ km from a Stripe office). The annual US base salary range for this role is $134,900 - $202,300. #J-18808-Ljbffr Stripe
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