Padmi

Manager/Senior Analyst - Credit Risk Portfolio Management

IndiaPosted 3 months ago
Infrastructure And DatabasesSeniorFull Time; Regular
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As a Manager / Senior Analyst in the Credit Risk Portfolio Management team, you will be responsible for maintaining credit risk data infrastructure, producing portfolio analytics, supporting risk governance frameworks, and providing actionable insights to senior stakeholders. Key Responsibilities: - Maintain, enhance, and support core credit risk systems and databases. - Manage credit risk data repositories to ensure accuracy, completeness, and timeliness. - Perform data validation, reconciliation, and data quality reviews. - Identify and resolve data quality issues by coordinating with relevant stakeholders. - Support ongoing process improvements and automation initiatives. - Produce portfolio reporting, management information (MI), and risk dashboards. - Generate analytical reports for senior management committees and governance forums. - Monitor portfolio trends, concentrations, and emerging risks. - Support risk appetite monitoring and portfolio risk assessment activities. - Deliver ad-hoc portfolio analysis and management reports as required. - Serve as a key point of contact for credit risk data and reporting requirements. - Collaborate with Risk, Business, Finance, Operations, and Technology teams. - Coordinate responses to stakeholder queries and information requests. - Support regulatory reporting and Head Office requirements. - Maintain user guides, process documentation, and operating procedures. - Support risk governance committees through preparation of reports and analysis. - Ensure adherence to internal controls, policies, and regulatory requirements. Qualification Required: - Experience in data management, database maintenance, and system administration. - Experience working with credit risk, banking, or financial services data. - Strong experience reconciling information across multiple systems and data sources. - Hands-on experience in data validation, cleansing, and quality management. - 3 years of experience in data management, risk reporting, or portfolio analytics (Preferred). - Understanding of credit risk concepts and banking products (Preferred). - Exposure to portfolio monitoring and risk reporting frameworks (Preferred). - Bachelor's Degree in Finance, Economics, Accounting, Mathematics, Statistics, Engineering, Computer Science, or a related discipline. If there are any additional details about the company in the job description, please provide them for further customization. As a Manager / Senior Analyst in the Credit Risk Portfolio Management team, you will be responsible for maintaining credit risk data infrastructure, producing portfolio analytics, supporting risk governance frameworks, and providing actionable insights to senior stakeholders. Key Responsibilities: - Maintain, enhance, and support core credit risk systems and databases. - Manage credit risk data repositories to ensure accuracy, completeness, and timeliness. - Perform data validation, reconciliation, and data quality reviews. - Identify and resolve data quality issues by coordinating with relevant stakeholders. - Support ongoing process improvements and automation initiatives. - Produce portfolio reporting, management information (MI), and risk dashboards. - Generate analytical reports for senior management committees and governance forums. - Monitor portfolio trends, concentrations, and emerging risks. - Support risk appetite monitoring and portfolio risk assessment activities. - Deliver ad-hoc portfolio analysis and management reports as required. - Serve as a key point of contact for credit risk data and reporting requirements. - Collaborate with Risk, Business, Finance, Operations, and Technology teams. - Coordinate responses to stakeholder queries and information requests. - Support regulatory reporting and Head Office requirements. - Maintain user guides, process documentation, and operating procedures. - Support risk governance committees through preparation of reports and analysis. - Ensure adherence to internal controls, policies, and regulatory requirements. Qualification Required: - Experience in data management, database maintenance, and system administration. - Experience working with credit risk, banking, or financial services data. - Strong experience reconciling information across multiple systems and data sources. - Hands-on experience in data validation, cleansing, and quality management. - 3 years of experience in data management, risk reporting, or portfolio analytics (Preferred). - Understanding of credit risk concepts and banking products (Preferred). - Exposure to portfolio monitoring and risk reporting frameworks (Preferred). - Bachelor's Degree in Finance, Economics, Accounting, Mathematics, Statistics, Engineering, Computer Science, or a related discipline. If there are any additional details about the company in the job description, please provide them for further customization.

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