Risk Evaluation of the proposals
- Understand structure of the transaction and identify key risk and mitigants.
- Analyse group financial strength and weakness
- Having understanding of various industries
Portfolio Monitoring
- Identification of Early warning signals to earmark stress accounts and initiation of exit from stress accounts
- Proactive monitoring of portfolio for control over credit costs.
- Portfolio level reviews
Credit Program Development:
- Engage in the development, implementation, review, and monitoring of various credit programs to support business growth.
- Participate actively in adoption of digital processes and automation.
Compliance:
- Ensure strict compliance with all audit, regulatory, and company regulations, processes, policies, and reporting systems.
- To ensure that all the audit queries are resolved in time with proper justification.
Collaboration and Industry Analysis:
- Collaborate closely with Vertical risk leader to execute risk management strategies effectively.
- Focus primarily on execution rather than planning, ensuring timely implementation of risk mitigation measures.
- Conduct industry-level analysis to support decision-making and enhance risk management frameworks.
Qualifications & Experience
- Minimum Degree: MBA/PGDBA/PGPM/ CA or Equivalent
- Minimum Years/type of experience:
- to
- years
Key Decisions taken
- Support in taking risk Approvals of the proposal
Disclaimer : This job posting has been aggregated from external source. Role details, content, and availability are subject to change. Applicants are advised to confirm the latest information directly on the company website before applying.
📌 Manager - Risk (Mumbai)
🏢 Tata Capital
📍 Mumbai
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