Job role involves Portfolio management portfolio analysis & management, monitoring of various risk triggers, in order to effectively assess and manage the risk. This involves implementing corrective action based on portfolio performance.
Launch of new policy program and amendment to existing program on account of changes in business environment, regulatory requirements, portfolio performance, business requirements.
Preparation of monthly Risk decks/newsletters to various stakeholders.
Monthly discussion with stakeholders.
Use of analytics for improvement of bad rate.
Handling internal audit as well as RBI audit queries.
Responsible for execution of BRE/system related changes.
Publishing Bounce and PDD MIS and regular discussion and monitoring for improvement.