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Analyzing the portfolio, reviewing and getting approvals for the Credit Policies and their modifications.
Monitoring portfolio distribution, concentration and distribution Risk.
Monitor portfolio performance and risk emanating from the same across product, geography and program.
Developing Dashboards, Early Warning Signals, risk limit framework to monitor portfolio Risk.
Monitor EWS, early delinquency, bounce rates, non-starters, Vintage delinquencies and bounce trends for managing portfolio risk.
Continuous and structured monitoring of Credit underwriting policies, framework and related processes for respectiveproducts.
Approval of new policies, programs and review/amendments of existing policies.
Working closely with Model Risk and BIU team to get risk estimation models fine tuned.
Trigger monitoring and control - coordinating with Analytics for analysis/development of Scorecard.
Finding opportunities, issues and suggesting corrective action tothe stakeholders.
Track risk management best practices across
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