Posted By
Posted in
Banking & Finance
Job Code
1407447
We are looking for Credit Risk Manager with having certification of FRM Level 1 or 2.
Or Knowledge in Credit risk is must or Market Risk
Job description:
Deliverables:
- Monitoring portfolio distribution, concentration, and segmental risk.
- Monitor portfolio performance and risks emanating from the same across product, geography, program etc.
- Monitoring Portfolio risk through dashboards and early warning signals, risk limit framework.
- Close monitoring of early warning indicators, early delinquency, bounce rates, non-starters, and other trends.
- Working closely with model risk and BIU team to get risk estimation models fine-tuned.
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Posted By
Posted in
Banking & Finance
Job Code
1407447