
- 6-11 years in Credit risk, provisions, and retail lending with expertise in ECL, Credit Cost Forecasting, and analytics tools (R/Python/SQL/SAS)
- Manage end-to-end provisions including forecasts, variance analysis, partner with Collections, Finance, Product, and Risk teams to optimize credit cost and P&L outcomes
- Owning end to end provisions management for the organization including forecasts, actuals,variance analysis and business commentary.
- Identify and quantify drivers of Credit cost movement and recommend interventions
- Partnering with Collections team to optimize recovery strategies to meet the provisions targets
- Working with Finance team to manage P&L outcomes
- Working with Product team to present clear insights to meet product level Credit Cost targets
- Working with the Risk Management team to create an optimal ECL policy for the organization
Essential Skills & Experience :
- 6-11 years of experience in Credit risk / collections analytics / Provisions
- Understanding of ECL, Credit Risk and Product P&Ls
- Experience in Credit Cost Forecasting and portfolio analytics
- Experience in Retail Lending
- Knowledge of Analytics Tools (R/Python/SQL/SAS/MS Excel, etc) withemphasis on problem solving
- Stakeholder management
Success Metrics:
- Accuracy of provisioning/ ECL forecasts vs actuals
- Identification of the key portfolio risk drivers
- Suggested interventions for collections strategy
- Reduction in Credit Cost volatility and alignment to organizational P&L
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