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Manager - Risk Analytics - Mumbai - Lodha (I-Think Techno Campus)

  • Posted 12 hours ago
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Job Description

Job Description

Main Accountabilities

Qualifications & Experience

  • Post Graduate degree with a background in Statistics / Mathematics / Economics/ Engineering / MBA from premier institutes
  • Experience of 3-6 years in the field

Functional Competencies

  • Hands on experience with scoring/data modelling
  • Tools: Python & SQL
  • Statistical Techniques: Logistic Regression, Segmentation, Forecasting, Machine Learning Techniques, Optimization.
  • Monitor and analyze portfolio performance for Personal Loans (PL) and Business Loans (BL), including delinquency trends, vintage analysis, segment-wise performance, and risk triggers.
  • Conduct offer validation and performance analysis using Python, SQL, and data analytics tools to ensure optimal customer acquisition and portfolio quality.
  • Evaluate alternative and bureau-based data sources, conduct Proof of Concepts (POCs), and recommend data-driven strategies to enhance credit underwriting and risk assessment.
  • Track, measure, and assess the effectiveness of implemented risk strategies, scorecards, underwriting rules, and portfolio management initiatives.
  • Collaborate closely with the Risk, Policy, Product, Business, and Data Science teams to evaluate, approve, implement, monitor, and periodically recalibrate risk models, scorecards, and decisioning frameworks based on portfolio performance.
  • Lead and manage cross-functional Risk Analytics and Risk Transformation projects, ensuring timely implementation and achievement of business objectives.
  • Perform customer segmentation, cohort analysis, champion-challenger testing, and strategy impact assessment to drive continuous portfolio optimization.
  • Support policy formulation and risk governance through data-backed insights, analytics, and recommendations.
  • Drive automation initiatives in portfolio monitoring, risk reporting, and analytical processes to improve efficiency and decision-making.

More Info

About Company

Tata Asset Management Limited (TAM) is the Investment Manager to Tata Mutual Fund. Our origin stems from a much respected and internationally acclaimed industrial house &#8211&#x3B; the Tata Group &#8211&#x3B; whose business philosophy has made our country and its people partners in the wealth creation process. Our heritage invokes "trust" among consumers, employees, shareholders and the community alike. Though a great heritage is obviously something to cherish, we also seek to carry that legacy through a set of well defined and time tested globally accepted business practices. Being part of the Tata group, we are well known for our strong adherence to highest standards of ethics and fairness in all our business dealings.
TAM manages funds across the entire risk-return continuum. These include equity funds, balanced funds and debt & money market oriented funds. The company provides investment management, risk management and advisory services to institutional, intermediary and individual investors.

Job ID: 152202751

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