AVP Risk Analyst - Mumbai, India - AideWiser SolTek
Description
Role purpose: Responsible to maintain highest level of risk standards, timely and accurate data submission along with regulatory compliance.
Key accountabilities and decision ownership:
Managing Risk Analytics activities for secured and unsecured products in terms of complete portfolio monitoring, compiling portfolio cuts to take corrective action
Providing complete support for Audit/compliance-related matters pertaining to the Credit and Risk team
Maintaining trackers for monitoring monthly delinquencies and taking steps to mitigate risk associated in real-time
Monthly (or other frequency) reporting of the entire portfolio with different metrics to senior management & for credit rating purposes
Taking Analytics to the next level in line with the growth of the organisation
Supporting the Zonal and Regional team in terms of data for ensuring that the portfolio is under control
Supporting for Securitization transactions in terms of the data pool, portfolio cuts, etc. Monitoring of already securitised book.
Liasoning with stakeholders for ensuring the activities are completed on a timely basis.
Liasoning with the Credit Bureau team
Core competencies, knowledge, and experience:
Exp: 8-10 years with leading Banks, NBFCs
Well Experienced in Credit/Risk Analysis in Banks and/or NBFCs
Experience in Mortgage product (specially LAP) policy and the process will be added advantage
Analytical skills, Good interpersonal skills
Ability to work independently with minimal supervision
Experience in building score-cards, risk models, stress testing, etc will be added advantage
Highly proficient in MS Excel, experience in data science including exposure in R, Python, SAAS, Power BI, Tableau, SQL, etc
Must have technical/professional qualifications:
CA/ MBA/B-Tech