Job Views:  
5913
Applications:  73
Recruiter Actions:  26

Job Code

301500

AM/Manager - Risk Policy/Strategy - SAS - Bank

3 - 9 Years.Bangalore
Posted 8 years ago
Posted 8 years ago

We have an exciting role with a Global Banking Client in their Risk Policy/Strategy team.

Role Description:

Conduct portfolio analytics and deep dives as required by country/regional/group Retail Credit. Develop credit strategies across the customer lifecycle of Origination, Portfolio Mgmt. and Collections.

Create insights for Retail Risk by studying portfolio trends, performing necessary analytics such as segmentation, profiling, cut-off setting, stress testing, sensitivity analyses

Timely identification of shifts in portfolio risk profile and re-aligning risk-measurement tools/codes for effectiveness and continuously enhance data-driven credit decisions

Provide analytical support to various Risk Reviews, perform adhoc analytical requests to support policy changes

Embed Bank's risk management and decisioning framework in day-to-day work, ideate / self-initiate necessary analytics to drive portfolio performance (specific for senior roles)

- Eligibility criteria

Advanced degree (preferably Masters) in a Quantitative Discipline (e.g. Math, Stat, Eco, Engg., Finance, MBA)

Proficiency in SAS is a MUST with proven experience of working with large, complex data. Proficiency in Microsoft Excel is desired. General familiarity with all Microsoft Office applications.

Sound knowledge of Financial Services products, in particular Retail Banking, is a MUST.

Sound knowledge of Credit Risk is desired with ability to perform related data analysis.

Good written and verbal communication skills.

Interested candidates can mail across their CV or can call me up to know more.

Prerna
Consultant-Enigma GR
9035099862

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Job Views:  
5913
Applications:  73
Recruiter Actions:  26

Job Code

301500

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