Portfolio Risk Manager Leader

13 hours ago


Navi Mumbai, Maharashtra, India beBeeCredit Full time ₹ 8,00,000 - ₹ 12,10,000

Job Title: Portfolio Risk Manager Leader

">

Roles and Responsibilities

">

The primary function of this role is to oversee the portfolio risk management strategy. This includes establishing data maintenance and management requirements, collaborating with IT to implement these solutions, and developing management reporting tools.

">

Key Responsibilities Include:

">
  • ">
  • Evaluating and monitoring portfolio performance against established guardrails and macro-economic data to identify potential business impacts">
  • Developing and implementing credit policy and operational guidelines for retail lending">
  • Collaborating with IT to implement new policies in the system, reviewing validations, and suggesting improvements to increase system efficiency">
  • Managing the business rule engine and creating built-in mechanisms for adherence to policy">
  • HIGHLIGHTING Deviations And Adhering To Policy">
  • Presenting detailed analysis on portfolio performance to Management">
  • Recommending strategic changes to the business based on portfolio trends">
  • Working with IT to evaluate, implement, and monitor internal and external credit scoring models">
">

Qualification & Experience Required

">

To be successful in this role, you will require professional education in the financial stream, a minimum of 4 years of experience in Credit/Risk Management, and proficiency in Office Applications. You should also have the ability to analyze information from an operational perspective.

">

 

">

BENEFITS

">

This role offers a unique opportunity to develop and implement your skills in portfolio risk management, working closely with IT and business stakeholders to drive strategic decision-making. As part of our team, you will have access to ongoing training and development opportunities to enhance your skills and knowledge.

">

 

"][

  • Mumbai, Maharashtra, India beBeeRiskSpecialist Full time ₹ 14,39,161 - ₹ 23,13,126

    Job Role:We are seeking a highly skilled Risk Specialist to manage our investment portfolio.The ideal candidate will have extensive experience in risk management, preferably within an investment management or financial services organization.Key Responsibilities:Analyze market and credit risks to ensure the stability of our investments.Evaluate exposure to...


  • Mumbai, Maharashtra, India beBeeMitigator Full time ₹ 1,50,00,000 - ₹ 2,50,00,000

    Strategic Portfolio Management RoleA highly skilled professional is required to manage the financial and contractual risks associated with our expanding portfolio in Asia Pacific, Japan and China region.Key Responsibilities: Mitigate financial and contractual risks by identifying potential issues and developing mitigation strategies.Work closely with...

  • Portfolio Risk Manager

    24 hours ago


    Mumbai, Maharashtra, India beBeeRiskManager Full time ₹ 20,00,000 - ₹ 25,00,000

    Risk - Portfolio StrategistAs a senior risk professional, you will be responsible for leading and coordinating strategic initiatives to manage risk across various portfolios. This includes developing and executing plans to mitigate potential risks and opportunities, working closely with stakeholders to understand business requirements, and identifying areas...


  • Mumbai, Maharashtra, India beBeeRiskManager Full time US$ 1,00,000 - US$ 1,45,000

    Job DescriptionThe Strategic Portfolio Management team seeks a seasoned professional to oversee financial and contractual risks for our expanding portfolio in Asia Pacific, Japan, and China region.


  • Mumbai, Maharashtra, India beBeeRisk Full time ₹ 80,00,000 - ₹ 1,41,00,000

    Job Title: Risk Portfolio AnalystRisk Portfolio Analysts are responsible for identifying and assessing potential risks within the company's portfolio. They work closely with senior management to ensure that the company is adequately prepared to mitigate these risks.Key responsibilities of a Risk Portfolio Analyst include:Identifying top and emerging risks...


  • Mumbai, Maharashtra, India beBeeRiskManagement Full time US$ 1,45,000 - US$ 1,75,500

    Job Overview:You will join our organization as a Senior Risk Management Leader, responsible for leading the evaluation and management of diverse portfolios in Asset-Backed markets. You will work closely with cross-functional teams to analyze, structure, and approve credit exposures.Key Responsibilities:Lead transaction execution, including due diligence,...

  • Portfolio Leader

    2 weeks ago


    Mumbai, Maharashtra, India beBeeInvestment Full time ₹ 2,50,00,000 - ₹ 3,00,00,000

    **Job Title:** Portfolio Leader Are you a seasoned professional with expertise in portfolio management and wealth planning? Do you have a passion for delivering exceptional client experiences and driving business growth? We are seeking an experienced Portfolio Leader to join our team. As a key member of our leadership group, you will be responsible for...

  • Strategic Risk Leader

    2 weeks ago


    Mumbai, Maharashtra, India beBeeRisk Full time ₹ 30,00,000 - ₹ 40,00,000

    Job Title: Strategic Risk LeaderOverview:As a key member of our organization, the Strategic Risk Leader will be responsible for developing and overseeing our enterprise-wide risk management framework. This individual will play a critical role in ensuring robust governance across credit, operational, and regulatory risk domains.Key Responsibilities:Develop...


  • Mumbai, Maharashtra, India beBeeRiskAssessment Full time ₹ 15,00,000 - ₹ 25,00,000

    Job Summary:The role of Insurance Portfolio Manager is pivotal in safeguarding an organization's assets and operations. This involves managing and optimizing the corporate insurance portfolio, ensuring adequate risk coverage, timely renewals, and efficient claims processing.Main Responsibilities:


  • Mumbai, Maharashtra, India beBeeRisk Full time ₹ 1,04,000 - ₹ 1,30,878

    Key Role Responsibilities:Delve into business analysis studies of company potential, industry risks, and management vulnerabilities to resolve stressed and special situation assets.Closely monitor early warning signals, cash flows, operational, and financial performance of allocated portfolios.Conduct thorough reviews of credit files/security documentation...