Reporting to Head of Market Risk and portfolio analysis:
Looking from Private Banks
Purpose:
- Position is responsible for Risk Analysis on Bank's Portfolios, and presentation of same through Dashboards & Analysis to Senior Management and Board. This would include all facets of risk. As these inputs are used for strategic decision making, accuracy and timeliness is of utmost importance.
- The position is also responsible for management and governance of Risk Policies. The position shall entail coordination with stake-holders from Business and all Support functions, as well as interaction with Statutory Auditors and Regulators.
Key Responsibilities but not limited to:
- Create Risk Dashboards and other ad-hoc analytical requirements for presentation to Board & Senior Management on time with accuracy
- Create & Manage Risk Policies keeping in mind regulatory changes and business exigencies, as well as Disseminate to relevant stake-holders
- Interact with internal stake-holders from Business, Credit function and other support functions on various aspects of Business, Risk and Risk Policies
- Manage interactions with Statutory Auditors and Regulators on Risk and Risk related Policies of the Bank
- Ensure Risk data points as collated and submitted to regulators are accurate. Build in necessary controls and validation framework to ensure data accuracy
- Ensure data used for MIS and Analytics is accurate and take pro-active steps to address data quality issues
- Take up risk projects to enhance productivity and automate manual processes as feasible and appropriate
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