This position is with a leading financial institute in India.
Our client is looking for candidate who has good experience in Risk Management (Market,
Credit and Operations)
Ø To Manage and stabilize the Risk department;
Ø To handle the whole Risk of the branch including Market, Credit
and Operations;
Ø To strive for attaining the envisaged goal of assessing,
monitoring the mitigate risk associated with the credit and market operations
on a continuous basis;
Ø Maintain and update the departments procedures and policies;
Ø Monitor overnight/ spot limits as established by the bank by means
of daily reports/MIS. Inform management of any discrepancies;
Ø Monitor grant of special rates for selective customers;
Ø Monitoring and updating of watch list of concerning credit;
Ø Preparing Asset Evaluation Reports of credit customers and
computation provisioning thereof;
Ø Due date control of collateral/ security documentation and
monitoring under Limitation Act;
Ø Monitoring of Country Risk Exposure and provisioning thereof,
Prudential Exposure Norms;
Ø To monitor/ administer all the credit transactions to prevent any
mistakes/frauds;
Ø Preparation and submission of all regulatory returns related to
the Risk Profile;