- Risk Assessment of cases and recommendation to authorities for new sanctions, within stipulated timelines.
- Periodic Portfolio Review including GAR analysis of portfolio, market analysis and timely reporting to management
- Analysis of Asset Quality Reviews: Take ownership and drive regional and location risk reviews
- Development or update of Credit Policy for CF lending.
- Ensure digitalization of the risk management processes and implement analytical solutions through IT platform / BIU Team
- Provide insight upon data trends which would enable policy and process changes,
- Collaborate with business users for implementation and monitoring of scorecards/solutions
o Assessment of : Industry / Promoter / Project / Cash flows / Regulation etal
Ideation, Conceptualization and implementation of projects to strengthen the Risk Metrices / Processes of the Vertical
o CF Model calibration and implementation
o Lead the automation of risk processes like NOC issuance
Prepare and publish CF Process SOP document
Graduate : Yes Masters/Postgraduate: CA / MBA
Finance Desired Experience: Minimum 7 to 9 years in the Credit Risk / Operational Risk / Risk Evaluation / Rating Analysis field.