Indicative Job Description :
The Portfolio Risk Manager / Analyst will be responsible for monitoring, analysing and optimising lending portfolios across consumer / merchant lending products. This includes overseeing portfolio health, developing / refining risk strategies and supporting business growth through risk adjusted decision making.
Key Responsibilities
- Portfolio Monitoring & Analytics
- Risk Strategy & Policy Design
- Stress Testing & Risk Containment
- Loss forecasting & scenario planning
- Product & Growth Partnership
- Collections Interface / Strategy
- Compliance & Bureau Management
Requirements
- 5+ yrs in portfolio risk management function in Fintech / NBFC
- Hands on experience in SQL, Python, R, Pyspark
- Comfortable with BI tools like Tableau, Looker, Metabase etc
- Familiarity with machine learning models
- Understanding of Bureau data, Alternate Data, Scorecards, Digital Lending APIs etc
Location: Noida Preferred
📌 Lending Risk_Team Lead (Noida)
🏢 Paytm
📍 Noida