Risk Monitoring - Construction Finance - Mumbai
Job Description:
- Portfolio Monitoring
- Policy, process and SOP Formulation
- Early warning models
- Regulatory & statutory inspection query resolution
- Assessment of new proposal
Customer Scoring monitoring and improvements
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· Facilitating the identification and management of risks that can impact the business, with the objective of improving the risk environment. · Portfolio monitoring on regular basis and presenting the identified risk to the management · Improvements in Early warning model of the company. · Identifiaction of early warning accounts in CF portfolio · Development and improvements in scoring models for the company · Framing and modification of policy to be in line with regulatory guidelines · Handling statutory and regulatory queries for construction finance portfolio · Reporting as per regulatory guidelines for construction finance · Development and improvement of system for monitoring and onboarding of CF accounts. · Assessment and rating of fresh & subsequent disbursal request. · Dashboarding of portfolio and presentation to senior maagment . · Policy and process and SOP improvements to reduce the risks identified through portfolio monitoring. |
Key Skills :
Company Profile
Is a fast-growing Indian --- finance company.It offers various home finance products, including home loans, loans against property (LAP), and construction financing for builders and developers.
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