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Senior Manager - Risk Analyst - MFB - Mumbai - Lodha (I-Think Techno Campus) - MM

Mumbai, Maharashtra, IndiaPosted 32 months ago
hybrid

Job Description

10803

Responsibilities:

  • Development, Implement and Review of Credit Risk Models & Associated Frameworks in an unsecured rural/semi-urban lending context in coordination with data science team
  • Implement & Monitor Credit Risk strategies across the lending life cycle – acquisition, underwriting, cross-sell & collections
  • Review portfolio on periodic basis across various risk metrices for early warning signals and analyze portfolio trends to track portfolio quality on accepted risk parameters.
  • Ensure risk policies are timely reviewed and reflect the dynamic external environment and internal risk appetite.
  • Analyze industry data on a scale, preparation of MIS/Dashboards and apprising senior management on changing market conditions.
  • Regular review of processes for adherence on risk policies and check if controls are effectively in place and working.
  • Visit branches on regularly basis and evaluate the portfolio quality and adherence to policy norms.
  • Coordinate with Various internal teams such as Quality Control, Product, Business, IT, Data Science team for strengthening of risk framework.

Eligibility Criteria:

  • MBA from a reputed institute
  • 3-6 years of experience in managing risk in a Bank/NBFC
  • Excellent in understanding data & bringing insights. Advance knowledge of excel required
  • Sound knowledge of statistical models
  • Experience in microfinance/inclusive finance will be an added advantage

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Senior Manager - Risk Analyst - MFB - Mumbai - Lodha (I-Think Techno Campus) - MM at Tata Capital | Renata