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Manager - Risk, Portfolio Management Group

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  • Banking & Finance
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Job Details

Portfolio risk monitoring of pure flexi accounts of Secured & Unsecured products & High Ticketmonitoring. Data collection and analysis for monitoring purposes. Timely feedback to management on portfolio trends and policy amendment if required. Refine and upgrade policy as per business/market requirement and after risk assessment Identify opportunities and propose strategies to enhance business Monitor, manage & refine IT platform (SFDC, Finnone) for better risk management Interaction with Business, Credit, OPS and IT to ensure smooth functioning of system & identifying opportunities & solutions to reduce risk from the system. Ascertaining of mortgages & unsecured due accounts falls under monitoring from system Letters to be sent to the customers as per Pure flexi monitoring framework. Extract relevant data for these mortgages accounts from SFDC such as customer profile, bank details, financial details etc., Customer Eye such as Seasoning, Repayment Behavior, Customer Contact Details etc., company details for these mortgages accounts from MCA site such as Signatories details, index of charge details, latest financial detail/s; checking and updating latest rating for these mortgages accounts carried out by the rating agencies. Highlighted the downgraded rating or rating at C or D for these mortgage accounts along with report/s. Set Google Alert On Google to keep track of every individual customer, company and related companies, trends, interesting topics, or anything really new that appears on the web. Assist in preparation of monthly review deck on high ticket monitoring. Basic qualifications 2-3 years of experience in risk / lending business with specific experience in retail consumer finance 1-2 years of work experience in SQL Should have fundamental understanding of risk parameters. Proficiency in data analytics understanding and processing data to arrive at meaningful risk metrics and relevance to portfolio conditions Excellent Excel & Power Point proficiency Basic understanding of IT skills CA qualified will be an additional weightage.
Degree: CA (Chartered Accountant) | MBA/ PGDM

Additional Degree: BA (Arts) | B.Com. (Commerce)

Experience: 2-3


Risk/Credit/Economic Analyst
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