Search by job, company or skills

T

Senior Manager - Risk Analyst - MFB - Mumbai - Lodha (I-Think Techno Campus) - MM

new job description bg glownew job description bg glownew job description bg svg
  • Posted 22 months ago
  • Be among the first 10 applicants
Early Applicant

Job Description

Job Description

10803

Responsibilities:

  • Development, Implement and Review of Credit Risk Models & Associated Frameworks in an unsecured rural/semi-urban lending context in coordination with data science team
  • Implement & Monitor Credit Risk strategies across the lending life cycle acquisition, underwriting, cross-sell & collections
  • Review portfolio on periodic basis across various risk metrices for early warning signals and analyze portfolio trends to track portfolio quality on accepted risk parameters.
  • Ensure risk policies are timely reviewed and reflect the dynamic external environment and internal risk appetite.
  • Analyze industry data on a scale, preparation of MIS/Dashboards and apprising senior management on changing market conditions.
  • Regular review of processes for adherence on risk policies and check if controls are effectively in place and working.
  • Visit branches on regularly basis and evaluate the portfolio quality and adherence to policy norms.
  • Coordinate with Various internal teams such as Quality Control, Product, Business, IT, Data Science team for strengthening of risk framework.

Eligibility Criteria:

  • MBA from a reputed institute
  • 3-6 years of experience in managing risk in a Bank/NBFC
  • Excellent in understanding data & bringing insights. Advance knowledge of excel required
  • Sound knowledge of statistical models
  • Experience in microfinance/inclusive finance will be an added advantage

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: 76694541