Posted By
Posted in
Banking & Finance
Job Code
652962
Responsibility :
Risk Management :
- Will focus on risk aspects of initiatives for the product
- Will be responsible for building robust and water-tight monitoring mechanism in view of higher regulatory controls
- Special focus on credit, operational & fraud risk aspects as we are are moving towards higher level of digitalization
Monitoring and Reporting :
- Over-manage the portfolio along with collection teams, taking timely corrective action considering the volatility
- Regulatory reporting with accuracy and adherence to timelines and working towards system functionality which would translate into a robust portfolio monitoring
- Post Approval Review & Process Automation :
- Post Approval review of approved & declined transactions/proposals on a sample basis to check for adherence to guidelines
- Work towards better controls by driving system automated and maintain a work flow based environment which would help in better data management along with portfolio management
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Posted By
Posted in
Banking & Finance
Job Code
652962