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Analyst (Credit Risk)

4.00 to 5.00 Years   Mumbai City   06 Jan, 2021
Job LocationMumbai City
EducationNot Mentioned
SalaryNot Disclosed
IndustryRecruitment Services
Functional AreaSales / BD
EmploymentTypeFull-time

Job Description

Title Analyst (Credit Risk) Mumbai 13-14L Budget 4-5yrs Exp Apply Now Categories Financial Jobs Salary 13-14L Total Yrs Of Experience Required 4-5yrs Job Location Mumbai Job DescriptionJOB DESCRIPTIONJOB TITLE Analyst LINE OF BUSINESS / DEPARTMENTBFS Risk & Analytics LOCATION Mumbai REPORTING TO Senior Manager SPAN OF CONTROL DIRECT/ INDIRECT NA General Summary Candidate with 4-5 years of experience in Financial credit risk management with experience mainly in policy, formulation, review and validation preferably together with good experience in some of the other domain areas as follows:Carrying out gap analysis i.e. identify and highlight gaps of existing credit risk and market risk/operational risk policies in terms of its current compliance with regulatory norms and suggest/recommend areas for suitable improvementHands on experience in formulating, refining and validating credit risk policies for funding Small and Medium Enterprises, mid corporates, large corporates and infrastructure projects by aligning policy aspects with industry best practicesGood understanding of Basel II & III Risk and capital metrics including salient aspects pertaining to PD, LGD, EAD modelling/ framework also employed for computation of expected credit lossesExposure to ICAAP framework/methodology covering both Pillar I and Pillar II risks and good practical/conceptual understanding of specific risks such as Interest Rate Risk, Liquidity Risk, Concentration risk as well as frameworks employed for Stress Testing and Scenario analysisCredit Risk Rating methodology/framework for rating facilities to Small and Medium Enterprises, mid corporates, large corporates and infrastructure projects, both greenfield and brownfield, involving road, power (both renewable and non-renewable) and other generic infrastructureGeneral understanding of banking sector products as well as good understanding of operations of banks, NBFCs, other financial institutions and financial marketsData analytics orientation-Ability to cleanse, interpret, analyze data and crystallize findingsApplication of basic statistical techniques to risk and financial dataAbility to work with data sets in Excel and use Excel Statistical Add-insSound ability to clearly communicate, verbally and in report format, concepts and ideas through presentations/report writing. Good interpersonal skills, knowledge of MS-Office applications and skills in making/delivering effective presentationsAbility to work as a teamThe Role / Responsibilities:Execution Data analysis, sector specific research study & assistance in preparation and delivery of presentations & reportsProduct development support for credit risk and ECL modelsJob Skills Required:Ability to apply knowledge on Credit Risk, policies, capital metrics such as Basel II/III and ICAAP to specific risk management assignmentsData handling in Excel ( Using Add-ins in Excel such as Stats, Maths and data Pivots) for analysing large credit data setsBasic working knowledge of Statistical techniques in Credit RiskQualifications:

  • CA/MBA qualification, with a basic degree in Economics, Engineering, Statistics or Commerce with an outstanding academic record
Other attributesSound knowledge of statistics/ risk management
  • 4-5 years experience in Banking, NBFCs, FIs in Risk Management dept or Risk Advisory in consulting
  • Strong ideation and analytical skills
  • Ability to communicate clearly and cogently (spoken and written)
  • Ability to work independently and in teams
  • Ability to work under pressure on various tasks at a time i.e. multi tasking
  • Keen to learn, wanting to be proactive and inquisitive and take initiatives in executing/completing tasks within agreed upon deadlines
  • Willingness to travel and engage with clients
Apply Now,

Keyskills :
credit risk managementbasel iims officecredit riskgap analysisdata analysisrisk advisorydata analyticsliquidity riskstress testingrisk management

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