Team Member - Portfolio Management & Credit Monitoring - Investment Bank - CA (4-7 yrs)
Responsibilities :
- Creating and reviewing integrated risk management policy of the company
- Looking into risk identification and measurement across key risk areas including credit risk, operations risk, market risk, liquidity risk
- Periodic reporting of risk parameters - Key Risk Indicators
- Setting up Risk Control Self-Assessment criteria in consonance with the risk origination teams
- Conducting reviews of different products, policies and processes from a risk management perspective
- Regular monitoring and reporting of various risk limits stipulated by the RBI, Board, ALCO, Credit Committees
- Conducting stress testing on key areas of operations of the company (both - assets, liabilities)
Additional :
- Maintaining various kinds of required MIS
- Interface for audits and inspections
Qualification & Skills :
- CA with 4-6 Yrs of Experience
- Eye for details and analytical approach
- Computer Savvy -Word, Excel, Access & Powerpoint is required to develop/manage databases
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