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Portfolio Management & Credit Monitoring Role - Risk Management - CA

4.00 to 7.00 Years   Mumbai City   28 May, 2022
Job LocationMumbai City
EducationNot Mentioned
SalaryNot Disclosed
IndustryBanking / Financial Services
Functional AreaFinance / Accounts / Tax
EmploymentTypeFull-time

Job Description

    Position Title: Team Member- Portfolio Management & Credit MonitoringCompany: Kotak Mahindra Investments Limited (KMIL)Location: MumbaiPosition Objective: Risk ManagementReporting Relationship : CROMain Responsibilities:- Creating and reviewing integrated risk management policy of the company.- Looking into risk identification and measurement across key risk areas including: credit risk, operations risk, market risk, liquidity risk.- Periodic reporting of risk parameters - Key Risk Indicators.- Setting up Risk Control Self-Assessment criteria in consonance with the risk origination teams.- Conducting reviews of different products, policies and processes from risk management perspective.- Regular monitoring and reporting of various risk limits stipulated by the RBI, Board, ALCO, Credit Committees.- Conducting stress testing on key areas of operations of the company (both - assets, liabilities).Additional Responsibilities:- Developing good understanding of the different lines of business of the Company.- Maintaining various kinds of required MIS.- Interface for audits and inspections.Job Requirement:Years of experience: 4 - 7 years of relevant experienceQualification: CA Functional skill set: Eye for details and analytical approachComputer Savvy -Word, Excel, Access & Power point is required to develop/manage databases,

Keyskills :
excelmarket riskrisk controlaccessalcorisk managementportfolio managementcreditriskrbioperational riskcontrolrisk identificationtestingcredit riskstress testing

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