Risk Analytics Manager - Mumbai, India - Hiranandani Financial Services

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    Description

    Job Description

    • Portfolio management and Analytics
    • System implementation and enhancement
    • Establish requirements for data maintenance and management along with implementation.
    • Create Management reporting tools to monitor portfolio performance at portfolio segment
    • Preparation of review deck and presenting it to Management.
    • Detailed analysis on portfolio
    • Tracking performance against guardrails, analyze portfolio and macro-economic data to determine potential impact on business operations.
    • Evaluate, implement and monitor internal & external credit scoring models
    • Implementation of new policies in system
    • Closely work with IT team for implementation of product policies in system, review validations and suggest improvements to increase system efficiency.
    • Automation of policies through system implementation
    • Managing Business rule engine(BRE)

    Qualification

    • Professional education in Financial stream/Technical knowhow of
    • 2-4 years of experience in Credit/ Risk Management.
    • Ability to analyze information, problems and procedures from an operational perspective
    • Proficient in excel , analytics tools