AVP-Credit & Market Risk with Fusion Microfinance Ltd
Key Responsibilities:
Managerial Responsibilities : Leading the credit and market risk vertical within the RMD & guiding the team to improve the risk monitoring process
Functional Responsibilities :- Review & improvise the risk management policies covering Credit, Market and Liquidity risk
- Review & improvised the enterprise risk management framework and risk appetite for the organization
- Perform dynamic portfolio review on continuous basis by designing various monitoring reports and exception reporting
- Identify early warning signals in the portfolio to take timely corrective actions
- Identify and analyze threat to Assets and Earning capacity
- Establish and monitor risk limit / parameters covering Credit, Market and Liquidity risk
- Developing credit approval matrix and review of credit approvals / exception handling
- Designing analytic methodology for review and approval of new branches
- Development / Validation of models for PD, LGD, EAD, ECL and ALM models etc.
- Stress testing of portfolio on periodic basis
- Review of Asset liability profile of the company covering Structured Liquidity Statement, IRS, Behavior Analysis LCR, NSFR