Working on huge data base pertaining to customer application or behaviour and be able to draw insight and recommend portfolio action
Analysis of customer transactions to be able to find unusual patterns, emerging trend of using wallets or UPI that may indicate risky behaviour
Analyse behaviour at customer level and optimize policies across products at that level
Be able to analysis partner data to recommend strategy of partnership/co-origination program
Be able to analyse digital footsteps to recommend portfolio actions
Responsibilities
JOB REQUIREMENTS-
Skills/Knowledge prerequisites
8 to 10 years of experience working with Risk and Analytics
Should have past experiences working in Fintech’s, Banks, NBFC’s directly or through providing consultancy services.
Advance working knowledge in Excel, SQL etc. advance knowledge of Python, familiarity with cloud platform (AWS)
Understanding of unsecured products like credit cards, consumer finance products. Experience of developing solutions for some of these products
Knowledge of fundamental statistical concepts such as correlation-regression, basics of statistical testing, probability distribution, time series etc.
Experience of decision tree, supervised and unsupervised ML techniques, predictive analysis, segmentation
Preferable to have knowledge of NLP, LLM, Deep Learning
Ability to work independently, collaborate effectively within a team.
Ability to guide and mentor juniors
Robust organizational and time management skills to handle multiple projects and meet deadlines
Qualifications
EducationQualification
Masters or Bachelors (Engineering) degree with mathematical/ statistical background
Soft Skills
Creativity and business problem solving
Strong Project management skills
Ability to tackle current and unforeseen challenges
Attention to detail
Robust verbal and written communication skills
High level of integrity, empathy and ownership
📌 Risk Analytics Manager Support Services Risk Analytics Mumbai
🏢 Kotak Mahindra Bank
📍 Mumbai
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