Join our team as a Pricing Manager in our thriving business that specializes in acquiring consumer-stressed debt portfolios. This remote position offers a unique chance to contribute your expertise and shape the future of our business. Key Accountabilities: Accurate pricing of stressed debt portfolios to ensure optimal cash flows and meet required returns. Drive growth in productive assets at targeted levels of return Key Performance Indicators (KPIs): Accuracy of cash flow forecasts. Growth in productive assets. Return on Assets and Return on Equity. Responsibilities: Thought leadership in developing new pricing methodologies for portfolios never-before-purchased. Innovation in existing pricing methodologies and techniques. Timely pricing of portfolios to meet seller timeframes. Detailed analysis of portfolios not performing in line with expectations. Implementation of collection strategies for newly purchased stressed debt portfolios. Maintenance of existing pricing processes, including facilitating pricing. Leadership and management of the pricing team. Requirements Degree in a quantitative field (Statistics, Mathematics, Computer Science, Physics, or Engineering). Post-grad qualification or relevant professional qualification is advantageous. 5-7 years experience as a Quantitative analyst preferably in Credit in Financial Services. Strong coding skills in SQL, SAS. Critical thinking, problem-solving, and attention to detail are non-negotiable. Self-motivated with the ability to work independently and thrive remotely. Excellent communication skills.