03 Sep
|
Can Fin Homes
|
Bengaluru
03 Sep
Can Fin Homes
Bengaluru
Role & responsibilities
Risk Management (Operational, Credit & Market Risk): Responsible for identifying, assessing, monitoring and mitigating operational, credit and market risks across Can Fin Homes Limited. The role will involve monitoring operational controls, RCSA, KRIs, fraud and process risks; managing credit risk through portfolio monitoring, DPD/GNPA/NNPA analysis, credit policy review, EWS, concentration risk and stress testing; and monitoring market/interest-rate risk, investments, ALM gaps, risk limits and sensitivity analysis. The role will ensure compliance with applicable RBI/NHB guidelines, internal risk policies and approved risk appetite, and provide regular risk reports and recommendations to senior management/Risk Management Committee.
Preferred candidate profile
Qualification: MBA/CA/FRM/CFA. Experience: 5 to 10 years in Risk Management, Credit Risk, Operational Risk, Market Risk or ALM, preferably in an HFC/NBFC/Bank.
📌 Operational/Credit/Market Risk Manager (Bengaluru)
🏢 Can Fin Homes
📍 Bengaluru