Posted By
Posted in
Banking & Finance
Job Code
1463185
Experience/Qualifications: We would prefer candidates as per following criteria -
- Experience in IFI/Financial Institutions Group (FIG) Credit Risk with Banks (preferable) or Rating agencies.
- Should have handled a portfolio of at least one of the following sectors: NBFCs, Stock Brokers, MFIs.
- Please avoid candidates with majority of experience handling predominantly Corporate clients.
- CA - 1st attempt or MBA from reputed institute
- 7-9 years of relevant overall work-experience in FI Credit Risk Analysis of borrowers/credit proposals as under:
- Financial Institutions, NBFCs, Stock Brokers & Banks
- Mix of long term & short term funding, non-fund based trade & treasury facilities
- Product knowledge of Credit, Trade & Treasury facilities is preferable.
- Ticket Size - Rs.10 - 1,000 crores
Responsibilities:
The primary purpose of the role is credit underwriting and risk management for accounts in his portfolio:
- Evaluate /recommend / approve individual credit proposals as per the delegation of authority.
- Continuous review and monitoring of accounts underwritten / portfolio reviews for risk management.
- Monitor compliance of regulatory guidelines/internal credit policy from time to time.
- Handle Credit audit queries and other portfolio related MIS
- Recommend changes to policy / process based on local nuances.
- Establish and monitor TATs.
- Implement system integration plans.
- Assist the Risk Management Group in research and analysis on industries/clients/markets.
- Monitor & expedite resolution of overdues, exceptions & other credit issues.
- In depth knowledge of local market
- Detailed knowledge of pertinent sectoral regulations & sound sectoral domain knowledge.
Proactive: Drive for making things happen
- Innovation and creativity
- Open to change and eagerness to grow
- Teamwork, co-operation and sharing
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Posted By
Posted in
Banking & Finance
Job Code
1463185