A brief of the role is as below:
- Continuous evaluation of portfolio to monitor real-time performance
- Generate insights and strategies for maximizing growth while minimizing defaults
- Coordinate across data science, business and risk team to have a clear customer targeting strategy in place
- Set up an Early Warning Signals in coordination with Collections and ensure that collection resources are used most judicially
- Develop and operate a reporting framework to ensure management has precise information to assess portfolio health
Ideal candidate will be someone with portfolio risk /risk reporting experience in NBFC's/ Banks
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