Average salary: Rs610,944 /yearly
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...Job Description
Asset and Wealth Management- Securities Based Lending Analyst (US WM)
The... ...JP Morgan’s Asset and Wealth Management’s Credit Middle Office. The primary focus is on supporting... ...Fair idea of Credit and credit risk functions
Having transformational mindset...
...large corporate loans. It involves conducting risk analysis by scrutinizing relevant loan... ...financials and ensuring compliance as per bank's credit policies.
Main duties:
Review &... ...related policy & submitting to India Management Committee for review.
Assisting RBI/HO/...
...mentors
Ability to build things from scratch
Position: Credit Risk - Officer
Key Responsibilities:
1. Ensure control over credit... ...Good verbal and written communication skills
Strong Team management skills
Excellent multi-tasking and Time Management skills...
...Job Title: Credit Risk Officer - Funds
Location: Mumbai
About Barclays
Barclays is a British universal bank. We are diversified... ...the Group.
Risk and Control Objective
Take ownership for managing risk and strengthening controls in relation to the work you do....
...Grade: Sr. Manager
Job Role:
Credit Risk Analytics and Modelling – Analyze, model, validate and document various measures of Credit Risk for use in Expected Credit Loss and Capital computations.
Hands-on experience in building, implementing, documenting, monitoring...
...with the Business to provide a comprehensive view.
As a Risk Associate - CCR within Risk Management and Compliance, you are at the center of keeping... ...quo, and striving to be best-in-class.
Counterparty Credit Risk is an independent risk organization within Wholesale...
...Liquidity is one of the world’s largest liquidity managers. With over 30 years of experience in... ...short spectrum. A disciplined approach to risk management is designed to help ensure... ...related activities as they may relate to credit, market, operational, reputational and other...
...Job Title: VP - Credit Risk - SLF
Location: Mumbai
About Barclays
Barclays is a British universal bank. We are diversified by business... ...the Group.
Risk and Control Objective
Take ownership for managing risk and strengthening controls in relation to the work you do....
Rs 15 - 22 lakhs p.a.
# Look for keywords like IFRS 9, ECL, RWA, PD, LGD, EAD,Basel, Credit rating, credit scoring, credit risk management.
# Academic qualifications would include Engineering + MBA (Marketing and HR MBA is strict no-no), courses like FRM or Business Analytics is a plus. CA or...
...Job Description:
Skills? Hands-on experience in either IFRS 9, Basel II / III, Credit rating models
? Experience in development & implementation of risk management products/ solutions/ systems (full SDLC)
? Good understanding of software systems
? Project management...
...independently with
minimal supervision
Well Experienced in Credit/Risk
Analysis in Banks and/or NBFCs
Experience of LAP/HL/BL product
from Credit/Risk/Policy stream
Experience for managing BRE is
must
Highly proficient in MS Excel.
Experience...
...Business Function: Risk Management Group works closely with our business partners to manage the bank’s risk exposure by balancing its objective... ...people and infrastructure.
Job Purpose:
· To frame the credit card policy framework (acquisition and account management...
...comprehensive view.
As Quantitative Research Wholesale Credit Risk, Data Team - Associate, you will design, analyze, deliver... ...commercial banking, financial transaction processing and asset management.
We recognize that our people are our strength and the diverse...
...We are looking out for Credit Research Analyst preferably with buyside experience
Description... ...)supports the CLO funds of Global Asset Manager with a focus on the European markets,... ...highlighting company & industry overview, credit risks & mitigants and investment rationale.
o...
...(something to add to your reading list): About
Key Responsibilities
Working closely with the Credit, Business, and Compliance team to manage and mitigate risk exposure.
Monitoring of loan accounts, checking loan documents & timely preparing various MIS reports...
...for its intended use and adequacy of model documentation.
Managing Escalations following up on actionable. Respond to regulator on... ...Skills required:
Minimum experience of 8 years in credit risk analytics in Banking.
Prior experience in coding is required...
...1000 CR. With Total Market Share of 5.5%, 3000 Cr+ Assets Under Management. Head Office at Thane West, Mumbai.
Website
Job Responsibilities... .... (Ageing Debits, F&O Shortages, GHVC)
Performing of daily risk-based activities such as GHVC, F&O Shortages, Ageing Debits,T5...
Roles : Manager-Tech Risk+ Regulatory ComplianceExperience : 7 to 10 YearsJob DescriptionTechnical:- Having worked on Information Technology Risk Assessment areas such as -ISO27001, PCI-DSS, COBIT, etc.- Knowledge and experience on Regulatory assessments for BFSI (E.g. RBI,...
...You will report to the Head of Credit. Your responsibilities will include managing team of Credit Analysts and ensure due implementation of credit policies and... ...the financial state of potential customers, performing risk assessments, writing detailed reports, portfolio analysis...
...templates and FAQs with help from SMEs; enforce regular maintenance of other source documents by SMEs (e.g. program guide, ASRQs, etc.)
Manage workflow, proactively perform required assessments, and assign resources; ensure audit documentation is complete
Track activity and...