[New Job Vacancy] AVP/ Sr Manager / Manager – Portfolio Risk Manager job in Riverforest Connections, (Mumbai, Maharashtra) – Jobs in Mumbai, Maharashtra

[New Job Vacancy] AVP/ Sr Manager / Manager – Portfolio Risk Manager job in Riverforest Connections, (Mumbai, Maharashtra) – Jobs in Mumbai, Maharashtra

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Job Opening details:-
Company Name :-
Riverforest Connections
Position Name :-
AVP/ Sr Manager / Manager – Portfolio Risk Manager
Company Location :-
Mumbai, Maharashtra
Job Category :-
Management jobs

Full Job Description :-
From 5 to 10 year(s) of experience
₹ Not Disclosed by Recruiter

Job Description
Roles and Responsibilities
Job Purpose
Portfolio Risk Monitoring and Governance

Job Responsibilities:
Portfolio Risk Assessment / Monitoring & Governance

Monitoring portfolio distribution, concentration, and segmental risk.
Monitoring portfolio risk through Dashboards and Early warning signals
Validation, critical evaluation, constant & structured monitoring of credit underwriting policies/ framework and related processes.
Critical evaluation of credit scoring / behavioral scoring & rating models for their efficacy and accuracy of on-ground implementation.
Setting up structured review meetings with key stakeholders on the aforesaid parameters. Build consensus among key stakeholders around the action areas originating therefrom. Obtain formal sign-off from Competent Authorities and drive through time-bound implementation
Work closely with credit risk modeling and rating team to get the risk estimation models fine-tuned.
RBI & Regulatory Compliance

Address the RBI and regulatory audit observations around portfolio risk monitoring and estimation.
Educational Qualifications
Chartered Accountant
MBA (Finance) from Cat A institutes / IIM
Key Skills
In-depth understanding of portfolio risk metrics & governance (Secured / Unsecured Products)
Understanding of credit risk prediction metrics and Regulatory Framework around it (BASEL, IFRS etc.)
In depth understanding of relevant Lending Products & related processes. Knowledge of Competition & Current trends in financial Industry.
Basic statistical acumen
Technical skill sets to churn large volumes of data.
Ability to conceptualize, implement and interpret & present credit risk dashboards.
Communication, articulation, and presentation skills.
Proficient operating knowledge of MS Office – specifically excel, PowerPoint & word

Experience Required
Minimum experience in years – 6+years

Exposure to Portfolio Risk / Credit Policy management in large lending institutions / Banks
Exposure to credit risk modeling will be preferred

Role:Portfolio Manager
Salary: Not Disclosed by Recruiter
Functional AreaBFSI, Investments & Trading
Role CategoryTrading, Asset & Wealth Management
Employment Type:Full Time, Permanent
Key Skills
AgriPortfolio MonitoringKGCcredit risk modelingSMEGovernanceworking capitalanalyticsinfra financePortfolio Risk MonitoringtractorCTGPortfolio Risk AssessmentAgricultureriskcreditRegulatory Compliance
PG:Any Postgraduate
Company Profile
RiverForest Connections Private Limited
A Leading Private Sector Bank
Company Info
Recruiter Name:Namrata
Contact Company:RiverForest Connections Private Limited

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