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Job Description
Requirements :
- Graduate/ MBA
- Min 3- 10 years of experience in handling Risk Analytics
- Exp of working with Bank/ NBFC would be preferred
Responsibilities :
- Responsible for identifying early trends in portfolio and sharing the insight with stakeholders in a timely and periodic manner
- Publishing month end reports pertaining to Portfolio Review and Risk Analytics and be instrumental in enhancing the insights of the report in an on-going manner
- Studying the market trends at product level, peer level and geography level from the bureau data and benchmarking our performance at granular level to provide insights to all concerned stakeholders.
- Monitoring key KPIs of important functions like Collection, Business, Credit and Risk Management and interacting with stakeholders and sharing the insight.
- Review, Validate and Manage model build for Expected Credit Loss (ECL) and customer segmentation.
- Play a pivotal role in institutionalizing Early Warning Signal (EWS) framework in the organization and also refine the EWS model by adding/updating parameters based on market trends and external information.
- Assist different stakeholders with adhoc analysis based on the requirement received.
- Possess analytical skills to analyse any deviation observed in terms of portfolio quality, productivity data and highlight any anomalies or gaps. Ability to handle large sized data
- Co-ordinate with IT team to facilitate leverage of big data use cases
- Ability to handle multiple data request from stakeholders and prioritise.
- Well versed with Advance Excel, Python, and preferably Alteryx
Job Requirement
Additional Information
Job Type | : | Full Time |
Experience | : | 3 - 10 years |
Location | : | Navi Mumbai, India |
Qualification | : | + MBA |