





We are looking for a committed, analytical, and results-oriented professional who wishes to contribute to strengthening our financial and portfolio risk processes. **Job Profile:** Professional in Public Accounting, Business Administration, Law, or related fields, with at least **3 years of general experience** and **2 years in similar positions**, especially in analyzing and controlling portfolio risk. Intermediate proficiency in **Excel and Word** is required, as well as knowledge of the **Risk Management System (SARC)**, drag law, and expected loss regulations. **Main Responsibilities:** * Review and analyze reports from the portfolio risk evaluation committee. * Schedule and coordinate committee meetings and follow up on commitments. * Review restructured portfolios and provisions. * Respond to requests from regulatory bodies. * Manage and analyze member inquiries (PQR), ensuring responses and closure. * Develop the collection budgetary flow and analyze variances. * Implement corrective and improvement actions in collection processes. * Ensure proper execution and updating of the collections module. * Monitor the Wage Garnishment Law and other related processes. * Prepare monthly management reports and logs. **Key Competencies:** Results orientation, teamwork, adaptability to change, leadership, analytical skills, attention to detail, effective communication, integrity, and continuous learning ability. * **Working Hours:** Monday to Thursday from 7:30 am to 4:30 pm; Friday from 7:00 am to 4:00 pm; and 2 Saturdays per month from 9:00 am to 1:00 pm in Medellín * **Salary:** 3\.749\.328 * Fixed-term contract for 3 months, with possibility of extension based on performance Employment Type: Full-time


