We have an Urgent opening as a "Manager: Risk Analytics" in one of the Reputed NBFC.
Exp:2.5 Yrs +
Location: Delhi /NCR
KEY RESPONSIBILITIES
Effectively execute the Risk MIS/reporting and portfolio analytics responsibility through : -
- Credit data management and infrastructure maintenance, including effective processes for validation of data and accuracy of reports generated. Ensuring completeness and timeliness of Credit MIS being reported respective stakeholders.
- Driving risk based analytical solutions.
- Ensuring completeness and timeliness of Credit MIS being reported to external stakeholders including Auditors and regulators.
- Ensuring optimization through use of automation in generating standardized decks.
- Coordination of the planning exercise by forecasting / modeling for credit cost numbers
- Drive strategic initiatives under portfolio management like top-ups, risk assessment, stress testing and other risk specific analyses.
KNOWLEDGE/SKILLS/EXPERIENCE
- Understanding of consumer credit cycle, key drivers of SME products, loan appraisal mechanism
- Good understanding of lending Risk concepts, financial ratios
- Ability to navigate through vast data with ease.
- Good communication skills & should be able to work with different and diverse teams
- Good hands on experience with Excel, Powerpoint.
- Hand-on knowledge on SQL, SAS will be an added advantage.
Kindly revert back with your updated resume if this profile suites you well.
Shailja Bisht
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