Associate Manager

2 weeks ago


Bengaluru, India Navi Full time

About Navi

Navi is one of the fastest-growing financial services companies in India providing Personal & Home Loans, UPI, Insurance, Mutual Funds, and Gold. Navi's mission is to deliver digital-first financial products that are simple, accessible, and affordable. Drawing on our in-house AI/ML capabilities, technology, and product expertise, Navi is dedicated to building delightful customer experiences.


Founders: Sachin Bansal & Ankit Agarwal


Know what makes you a “Navi_ite” :

1.Perseverance, Passion and Commitment

• Passionate about Navi’s mission and vision

• Demonstrates dedication, perseverance and high ownership

• Goes above and beyond by taking on additional responsibilities

2.Obsession with high quality results

• Consistently creates value for the customers and stakeholders through high quality outcomes

• Ensuring excellence in all aspects of work

• Efficiently manages time, prioritizes tasks, and achieves higher standards

3.Resilience and Adaptability

• Adapts quickly to new roles, responsibilities, and changing circumstances, showing resilience and agility


Key responsibilities:


● Work on the Risk function mandates related to liquidity risk as well as enterprise risk management (ERM), aligning to the roadmap of planned objectives across these areas

● Liquidity Risk: analysis of and reporting on funding, cash flow projections (including operational and behavioral views), liquidity measures, liquidity stress testing and relevant regulation

1. Identification, assessment and monitoring of the liquidity risks related to the Company’s business

2. Working closely with business units, Treasury and other relevant functions regarding business strategies, risk monitoring and limit compliance

3. Perform relevant analyses on key risk areas and communicate & present results with relevant

stakeholders (including senior management, Board & management committees - especially the ALCO)

4. Independently review and challenge the Group’s liquidity metrics methodologies, including assumptions and key drivers.

5. Lead key areas such as – contingency planning, intraday liquidity monitoring, etc. across the Group

● As part of ERM responsibilities, cover all material risks that the lending business (NBFC) faces, including:

1. Interest rate risk: Estimate impact of interest rate risk under stress, use quantitative approaches to assess impact on profitability & earnings

2. Market risk: Assess risks associated with investments made by the treasury function, monitoring and setting limits to track emerging risks

3. Operational Risk: Identify residual risks against each process across businesses, checking for existing controls and recommending upgrades in the control framework

4. Regulatory Risk: Address any emerging regulatory requirements related to risk management, including key projects like the ICAAP (Internal Capital Adequacy Assessment Process)

● Build, update & maintain stress testing models to check impact of adverse movements in any of these risk types

● Develop and maintain monitoring reports for Boards, Regulators and internal use on a regular basis -ensuring tracking against the Company’s risk appetite

● If and when required, liaise with internal and external auditors and regulators to ensure compliance to applicable standards.


Required Skills:

● Bachelor’s / Master’s degree, preferably with specialization in economics / statistics / quantitative finance

● 2-5 years relevant experience, preferably working in risk management or a Treasury at a financial

institution

● Strong understanding of risk, liquidity, and financial products

● Ability to balance risk, potential impact, resourcing, business drivers, and timelines

● Excellent verbal & written communication skills, as well as presentation skills.



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