Average salary: Rs2,250,000 /yearly
More statsSearch Results: 15,413 vacancies
...Job Title: AVP-Funds Credit Risk
Location: Mumbai
About Barclays
Barclays is a British universal bank. We are diversified by business, by different types of customers and clients, and by geography. Our businesses include consumer banking and payments operations around...
...industry.
Job Description
Job Purpose:
To manage the Credit Administration function of the Mumbai branch in conjunction with... ...documentation reports; and assist the management in controlling various risks at the branch within Group framework, approved appetite and...
...Director, (Credit Risk / Collateral)
Bangalore, India
Full-time
Job Family Group: Risk
Company Description
Visa is a world leader in payments and technology, with over 259 billion payments transactions flowing safely between consumers, merchants, financial institutions...
...Greetings from Avensys
We are looking for “Credit Risk Analyst” for Singapore location. Please let me know your interest level to discuss on the opportunity or request you to refer anybody interested in the role.
About Avensys:
Avensys is a reputed global IT professional...
...: Deputy Manager (1 - 3 years of experience)
Sr. Manager (4 - 6 years of experience)
Location: Mumbai (BKC)
Job Role:
Credit Risk Analytics and Modelling – Analyze, model, validate and document various measures of Credit Risk for use in Expected Credit Loss and...
...Location: Remote
Job Type: Fulltime
Years of Experience- 3-8 years
Job Overview:
We are seeking a skilled and analytical Credit Risk Analyst to join our Analytics. The ideal candidate will have a strong background in data analytics and risk assessment. The Credit...
...Job Description
The cornerstone of Morgan Stanley's risk management philosophy is the execution of risk-adjusted returns through... ...resulting from defaults by our lending and trading counterparties. Credit Risk Management (CRM) is the independent risk management function...
...business environment.
Roles And Responsibilities
Research, development, enhancement, and documentation of IMM Counterparty credit risk, methodologies, and tools for regulatory and risk management purposes.
Perform analysis including model recalibrations, back-...
...and borrower segments. It’s technology focused approach and its risk management framework enable it to offer a rich product suite to its... ..., Financial and Governance Aspects.
Post-investment: Periodic credit analysis & risk monitoring of portfolio entities, Early warning...
...responsibilities
Gather/analyze complex data and develop accurate conclusions with sufficient comprehension of the business to understand risk implications
Understand user experience to aid support in defect troubleshooting
Facilitate forums to address the priority of...
...Minimum 5 - 8 years of experience required in the Credit and Risk department of Banks, NBFCs or Fintech companies CTC - 15 Lpa
● Should be from Unsecured Lending background
What you will work on:
● Credit underwriting and appraisals of unsecured loan applicants...
...Excellent career growth
Company of highly passionate leaders and mentors
Ability to build things from scratch
Position: Credit Risk - Officer
Key Responsibilities:
1. Ensure control over credit risk rating for assigned customers.
2. Ensure timely and accurate...
...Job Description
Are you interested in developing your career in finance which utilizes credit risk and innovation? This role would offer high visibility and an opportunity to make a meaningful impact within the bank.
We are seeking a talented and ambitious applied...
...+Banking
Responsibilities:
Helping with various aspects of model risk management (first line or second line) and regulations
Perform... ...end to end monitoring/validation/production/implementation of credit risk models, especially CCAR/CECL/IFRS9 regulatory models....
...Private Limited, a Hyderabad-based Chit Fund company, is seeking a highly motivated Manager - Risk to join our team. This role involves evaluating, monitoring, and managing credit risk within our lending portfolio. This role involves analyzing financial data, assessing...
...Profile The cornerstone of Morgan Stanley's risk management philosophy is the execution of... ...by our lending and trading counterparties. Credit Risk Management (CRM) is the independent risk... ...Management is looking to hire a Director/AVP supporting the Firm's Structured Products Secured...
...Position Overview
In Scope of Position based Promotions (INTERNAL only)
Job Title- Credit Officer (Associate)
Location- Mumbai
Role Description
Risk division has a fundamental responsibility to protect the Bank. With group-wide responsibility for the...
...data-driven insights, increase customer satisfaction, and manage risk and compliance. EXL serves the insurance, healthcare, banking and... ...retail, and others
Role Details : We are seeking a strong credit risk model professional with experience in model monitoring, validation...
...and realize their ambitions.
We are currently seeking an experienced professional to join our team in the role Regulatory Risk Data Analyst – AVP .
Principal responsibilities
Perform Data Gap analysis and raise data sourcing requirements to relevant teams...
...Hi,
This is with regards to an opening with a Global Financial Services Firm in Mumbai
Role - Counterparty Credit Risk Analyst/Associate Role
Exp - 3-5 years (Analyst) and 6-8 years (Associate)
Skills - Counterparty Credit Risk + Market Risk/Liquidity Risk...