Manager - Corporate Strategy

1 week ago


Mumbai, Maharashtra, India Capri Global Capital (CGCL) Full time ₹ 15,00,000 - ₹ 25,00,000 per year

Key Responsibilities:

  • Monitor the credit portfolio, identifying and addressing potential risks such as defaults, delinquencies, and NPAs.
  • Conduct regular reviews of borrowers creditworthiness and portfolio performance, ensuring alignment with company policies and risk appetite.
  • Develop and implement credit monitoring tools and reports to track key metrics such as delinquency rates, recovery rates, and risk-adjusted returns.
  • Work with the credit and collections teams to minimize credit defaults and improve recovery processes.
  • Ensure the credit portfolio remains within acceptable risk limits while supporting business growth.
  • Identify new business opportunities, market trends, and potential strategic partnerships to increase market share and profitability.
  • Drive innovation in products and services, ensuring they meet customer needs and regulatory standards.
  • Ensure that business strategies are aligned with risk management guidelines to support sustainable growth.
  • Track and measure the performance of strategic initiatives, adjusting plans as necessary to meet evolving market conditions.
  • Continuously monitor existing loan portfolios for early signs of risk, including overdue loans, defaults, and delinquencies.
  • Identify and mitigate risks by developing actionable credit risk management strategies that align with the company's risk tolerance and business goals.
  • Collaborate with the underwriting and credit team to improve the risk assessment models and ensure accurate credit decision-making.
  • Ensure effective risk mitigation by establishing strong credit risk frameworks, monitoring KPIs such as Non-Performing Assets (NPA), and maintaining healthy asset quality.
  • Monitor the credit portfolio for early warning signs of potential defaults, delinquencies, and NPAs.
  • Conduct regular reviews and risk assessments of loans to identify trends and exposures.
  • Develop and implement frameworks for effective risk tracking and monitoring to ensure adherence to risk management policies.
  • Work with the credit and collections teams to ensure timely follow-up and recovery of overdue loans.

Ensure proper risk categorization and reporting of high-risk assets

Preferred candidate profile

  • Candidate with minimum 4 years of experience
  • Must have strategy experience in NBFC/BFSI
  • Graduate/ Post Graduate


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