Risk Manager-support Services-consumer Risk
18 hours ago
Job Category KMBL Degree Level Bachelor s Degree To manage credit risk across the Consumer Bank portfolio by ensuring robust underwriting portfolio analytics early warning detection and policy compliance The role involved risk evaluation of proposals driving risk-adjusted growth and supporting regulatory and internal audits Key Responsibilities The role requires to process implement and develop risk strategies for Consumer business Operate and maintain an effective risk management system by creating a robust risk framework which includes risk identification assessment mitigation tracking and reporting Evaluate product programs policies in line with regulatory guidelines and build strong risk controls across all spectrums Onboarding Credit Operations Fraud Reputation etc Assessment of scorecards and formulation of policies strategies basis scorecard Ensure credit policies align with business strategy and RBI regulatory norms Conduct regular monitoring of portfolio KPIs bounce rates delinquency trends and EWS Build and monitor EWS dashboards to detect stress in mortgage portfolio Use statistical tools Excel SQL SAS Python for deep-dive analytics where needed Support ICAAP IRB and stress testing documentation as needed Job Requirements MBA Postgraduate in Banking Industry Certification in credit risk data analytics six sigma and FRM is an advantage 7-8 years of experience in private banks or large sized NBFC Experience in Legal Technical evaluation is an added advantage Experience in implementing scorecard models in policy and credit decisioning process Proficiency in data mining and using visualization tools will be an added advantage Experience in implementing BRE and rule-based underwriting and enabling automation of credit checks
-
Risk Manager-support Services-consumer Risk
5 days ago
Mumbai, Maharashtra, India Kotak Mahindra Bank Full timeJob Category KMBL Degree Level Bachelor s Degree To manage pre-approved waterfall on policy parameters and validation of WF as shared by BIU Responsibilities The role requires to process implement and develop risk strategies for Consumer business Operate and maintain an effective risk management system by creating a robust risk framework which includes risk...
-
Risk Manager-Support Services-Consumer Risk
4 weeks ago
Mumbai, India Kotak Mahindra Bank Limited Full timeJob Description Job Description:To manage credit risk across the Consumer Bank portfolio by ensuring robust underwriting, portfolio analytics, early warning detection, and policy compliance. The role involved risk evaluation of proposals, driving risk-adjusted growth, and supporting regulatory and internal audits. Key Responsibilities: The role requires to...
-
Risk Manager-Support Services-Consumer Risk
3 days ago
Mumbai, Maharashtra, India Kotak Mahindra Bank Full timeDescriptionTo manage pre-approved waterfall on policy parameters and validation of WF as shared by BIUResponsibilitiesThe role requires to process, implement and develop risk strategies for Consumer businessOperate and maintain an effective risk management system by creating a robust risk framework which includes risk identification, assessment, mitigation,...
-
Risk Manager-Support Services-Consumer Risk
2 days ago
Mumbai, Maharashtra, India Kotak Mahindra Bank Full timeDescriptionResponsibilitiesThe role requires to process, implement and develop risk strategies for Consumer businessOperate and maintain an effective risk management system by creating a robust risk framework which includes risk identification, assessment, mitigation, tracking and reportingEvaluate product/programs/policies in line with regulatory guidelines...
-
Risk Manager-Support Services-Consumer Risk
3 days ago
Mumbai, India Kotak Mahindra Bank Limited Full timeJob Description Responsibilities The role requires to process, implement and develop risk strategies for Consumer business - Operate and maintain an effective risk management system by creating a robust risk framework which includes risk identification, assessment, mitigation, tracking and reporting - Evaluate product/programs/policies in line with...
-
Risk Manager-Support Services-Consumer Risk
2 weeks ago
Mumbai, India Kotak Mahindra Bank Limited Full timeJob Description Key Responsibilities: 1. Develop and implement risk management policies and procedures for the unsecured business lending products. 2. Drive policy and process changes basis portfolio trends and market conditions. 3. Monitor and manage portfolio risk, including credit, market, and operational risks. 4. Track and monitor portfolio health and...
-
Amer. Portfolio Risk Support Credit Risk
2 days ago
Mumbai, Maharashtra, India Barclays Full timeJob Title: Amer. Portfolio Risk Support Credit Risk Location: Mumbai About Barclays Barclays is a British universal bank. We are diversified by business, by different types of customers and clients, and by geography. Our businesses include consumer banking and payments operations around the world, as well as a top-tier, full service, global corporate and...
-
Mumbai, Maharashtra, India DBS Bank Full timeRMG Risk Management Group works closely with our business partners to manage the bank s risk exposure by balancing its objective to maximise returns against an acceptable risk profile We partner with origination teams to provide financing investments and hedging opportunities to our customers To manage risk effectively and run a successful business we invest...
-
Project Manager, Consumer Risk
3 days ago
Mumbai, Maharashtra, India Priceline Full timeThis role is eligible for our hybrid work model: Two days in-office.Why this role is a big dealThis role is a unique opportunity to make a company-wide impact at Priceline. As a Project Manager, you'll not only design and implement meaningful processes but also shape the way cross-functional teams work together to achieve high-value outcomes. The role is...
-
Risk Manager
6 days ago
Mumbai, Maharashtra, India Motilal Oswal Financial Services Ltd Full time ₹ 8,00,000 - ₹ 24,00,000 per yearJob Purpose:The Treasury & Investment Risk Manager is responsible for identifying, assessing, and managing risks associated with the organization's treasury activities and investment portfolio. This role ensures that liquidity, interest rate, credit, and market risks are effectively controlled to safeguard the institution's financial health and support...