Manager - HRD at MAS Financial Services Limited
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MAS Financial Services - Risk Manager (1-3 yrs)
Risk Manager
Profile : Risk Manager
Qualification : M.B.A (Finance) or Chartered Accountant
Job Description :
Micro and Macro Industry analysis
a. Market Updates
b. Interaction with existing clients of same industry
c. Peer comparisons
Understanding the impact of existing and new regulations and policies on our clients
a. Identifying the cluster and disseminating the existing and new clients basis that
b. Evaluating the policies, its applicability and the impact
Risk assessment and suggesting necessary changes in policies and processes.
a. Understanding the current policies and processes.
b. Evaluating the weak links basis market study, industry practices and internal controls
c. Suggesting corrective course of action
Setting up the monitoring parameters in discussion with the credit, Marketing and client.
a. Keeping the tracker of monitoring parameters client wise
b. Follow up with the clients and sales team for monitoring documents
c. Co-ordination with the clients and sales team.
d. Engaging with the client on continuous basis to understand the performance, Risk assessment or evaluating the future business prospects.
Monitoring the performance of the client and industry.
a. Assessing the performance of the company basis monitoring parameters.
b. Evaluating the risk, business opportunity