Strategic Portfolio Manager

2 days ago


Bengaluru, Karnataka, India beBeeRisk Full time ₹ 20,00,000 - ₹ 35,00,000
Job Title: Strategic Portfolio Manager

About the Role

We are seeking a highly skilled and experienced Strategic Portfolio Manager to join our team. As a Senior Manager, you will be responsible for managing and strategizing on end-to-end credit underwriting and monitoring of personal loans through digital journey.

 

  • Main Responsibilities:
  • To develop and implement underwriting policies that ensure accurate assessment of creditworthiness.
  • To collaborate with Data Science team to analyze underwriting models and validate their performance on current portfolio.
  • To determine performance benchmarks and identify course of action in case of breach.
  • To automate Credit Policies to minimize manual intervention in assessing creditworthiness.
  • To determine right pricing basis segmentation.
  • To standardize policies and processes.
  • To track portfolio profitability and funnel metrics along with risk thresholds.
  • Performance Monitoring:
  • To analyze portfolio data to recommend policy changes to Policy head.
  • To conduct regular credit reviews of existing portfolio and analyze high-risk segments.
  • To take actions to mitigate risks identified based on portfolio performance.
  • To monitor delinquent accounts to ensure achievement of company standards/benchmark of delinquency.
  • To identify technological solutions to improve existing processes and overall portfolio management functions.
  • To analyze various MIS to monitor portfolio performance and risk.
  • New Partner Integrations:
  • To understand product being offered by new channel partner and segment being catered to.
  • To identify set of information available with channel partner and requisition set of data to be provided at time of application.
  • To create policy basis product, information available and prevailing models.
  • To facilitate data room exercise for new segment of customers.
  • To formulate policy keeping expected loss rates in consideration.
  • To monitor implementation of policy, UAT and production test run of policy and clear bottlenecks, if any.
  • Relationship Management:
  • To manage relations with Partners, credit reporting agencies and assist in all credit operations of the company.

 

Main Skills Required:

  • Data Analytics
  • Model Validation
  • Policy Formulation
  • Portfolio Management
  • Stake Holder Management
  • Project Management

 

Qualifications Preferred:

  • Postgraduate in Finance/Statistics/Management from A institutes
  • Qualifications preferred: BTech with MBA
  • Minimum 7 years with 3 – 4 years in risk management and policy creation
  • Fair understanding of risk performance
  • Good communication skills
  • Superior Stake holder management skills
  • Hands-on experience to work on large structured and unstructured datasets
  • Data driven, Analytical approach, Team Player

 

Avoidance of Risks:

  • To avoid negative impact on business due to poor risk management.
  • To reduce likelihood of potential losses.

 

Opportunity to Learn:

  • To learn new things every day in the role.
  • To upskill and reskill according to changing market scenario.

 

Benefits Package:

  • A competitive salary package.
  • An attractive benefits package.
  • A fulfilling career growth opportunities.


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