Recruiter at Strategic Talent Partner
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Portfolio Manager - BFS (4-6 yrs)
Portfolio Manager
- Responsible for the development and execution of credit portfolio risk monitoring activities, including analytics and process enhancements.
- Responsible for creating enhancing and maintaining reports on key risk metrics, concentrations, and stratifications of the loan portfolio.
- Perform research to prepare and provide clear and accurate information as requested by auditors, regulators, and other stakeholders.
- Responsible for preparing ad-hoc risk management reports as assigned.
- Responsible for analyzing financial information and interpreting the financial condition of customers.
- Responsible for the identification of risk factors that could impact the ability to be repaid and communicate it to the appropriate unit.
- Provide support in the completion of Credit Approval Report packages.
- Complete various aspects of the formal Credit Approval Report (CAR), including a summary of loan terms, exposure levels, and exceptions to policy.
- Prepare industry analysis from time to time as necessary.
- Provide support to stakeholder[s] by attending to clients and prospects business development/relationship calls as requested.
- Collaborate with stake holders to determine the appropriate proposed outline of the terms of a loan
- Determine the timing and scope of work projects by reviewing Loan Maturity Report.
- Responsible for the update of relationship loan histories, and determine appropriate exposure levels
- Credit Policy understanding, especially in retail finance.
- Should be a team manager, and have relevant team management experience.
- Should be confident and decision make
Internal Relations:
- Collections, Operations, Sales.
External Relations:
- NBFC, Lenders, Banks.
Mandatory:
- Has experience on key risk metrics, concentrations, and stratifications of the loan portfolio.
- Has proper understanding of policy creation.
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