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28/10 Sheetal Vij
Lead Sourcing at Kelly

Views:122 Applications:32 Rec. Actions:Recruiter Actions:1

Risk Policy Analyst - BFSI (2-4 yrs)

Mumbai Job Code: 1172861

- The Risk Policy Analyst II is a developing professional role. Applies specialty area knowledge in monitoring, assessing, analyzing and/or evaluating processes and data. Identifies policy gaps and formulates policies.


- Interprets data and makes recommendations.


- Researches and interprets factual information. Identifies inconsistencies in data or results, defines business issues and formulates recommendations on policies, procedures or practices.


- Integrates established disciplinary knowledge within own specialty area with basic understanding of related industry practices.


- Good understanding of how the team interacts with others in accomplishing the objectives of the area.


- Develops working knowledge of industry practices and standards. Limited but direct impact on the business through the quality of the tasks/services provided. Impact of the job holder is restricted to own team.

Responsibilities:

- Risk Portfolio Analyst position will be responsible for day-to-day activity (data base generation, MIS/reporting generation, portfolio analysis and policy monitoring) in the Product Portfolio Policy Unit

- Help assist the Portfolio Policy Manager to manage portfolio policy for the respective products, focusing on healthy organic portfolio growth through existing and in-process portfolio programs

- Work as a team within the Portfolio Policy Department to provide supporting data & analysis in setting risk appetite for the product

- Partner with risk/ops counterparts and the business to manage in managing the portfolio to achieve plan numbers and product sustainability

- Work with risk/ops counterparts and the business to ensure correct policy implementation on an operational level

- Provide supporting data & analytics at on portfolio level and segment level for the purpose of monitoring & policy adjustment to policy with the ultimate goal of managing risk and maximizing rewards

- Partner with Risk MIS team, provide supporting data for Credit Risk Reporting and Portfolio Quality Review Reporting, as well as ad-hoc reporting as needed

- Appropriately assess risk when business decisions are made, demonstrating particular consideration for the firm's reputation and safeguarding Citigroup, its clients and assets, by driving compliance with applicable laws, rules and regulations, adhering to Policy, applying sound ethical judgment regarding personal behavior, conduct and business practices, and escalating, managing and reporting control issues with transparency.

Qualifications:

- 2+ years experience in Statistics/Analytics/Decision Management will be desirable Risk/Business Skills and Experience will be desirable. SAS skillset is desirable

- Ability to perform analysis to support decisions on matters pertaining to aspects of risk, especially on credit risk

- Able to work in a team and across teams with people from diverse backgrounds

- Able to work in a rapidly changing external environment and support the business in a highly competitive and challenging market

- Able to work under pressure in high risk scenario

Education: Bachelor's/University degree or equivalent experience

This job opening was posted long time back. It may not be active. Nor was it removed by the recruiter. Please use your discretion.

Women-friendly workplace:

Maternity and Paternity Benefits

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