General Manager - Risk Manager Lending
Location - Gurgaon
Experience - 7 to 10 years
Must Have :
- Experience with Quantitative Analysis, Data mining and Trend analysis
- Experience with Risk Analytics and Portfolio Management experience in Financial Services/ Fintech preferably in Credit Card / Unsecured Loan
- Experience of Alternate data along with Bureau Data Management and designing Risk Strategies
Responsibilities :
- Develop underwriting strategies on merchant lending through existing data in company ecosystem as well as explore alternate data.
- Early assessment of segment level loss rates & take quick action on the segments.
- Launch challenger segments & quantify expected benefit & loss from the same.
- Close interaction with Product team for recommended changes in the policy or workflow
- Detailed understanding of in-house systems & agility to change legacy systems whenever required.
- Hands-on approach to risk segmentation.
- Collaborating with teams like - Data Science, Product, Business to setup and monitor underwriting strategies.
- Take portfolio action through offus behavior from bureau/ alternate data triggers.
- Monitor implemented strategies to continuously assess business & risk impact.
- Promote a self-service culture by understanding the trends and behaviors in the Risk reporting and drive through the appropriate enhancements to ensure maximum utilization of reporting and analytics toolsets.
- Effectively navigate complex problems and ensure systematic problem-solving where risk problems are analyzed, options evaluated and decisions aligned
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