Senior Consultant, Assistant Manager, Manager, Senior Manager – FS Risk

Manager - Financial Services Risk Management

1 Nos.
43636
Full Time
5.0 Year(s) To 10.0 Year(s)
30.00 LPA TO 50.00 LPA
Accounts / Finance / Tax / CS / Audit
Account/Finance/Tax consulting
MBA/MMS/MPM/PGDM - Finance
Job Description:
  • Developing the existing Risk Appetite framework.
  • Developing Risk Appetite Statement (RAS) approved by the Board of Directors in line with the strategy.
  • Developing Tolerance Limits for the key risks.
  • Developing a plan for maintaining and reviewing the Risk Appetite Framework and the Tolerance Limits.
  • Developing credit rating policies (including aspects of governance, development, utilization, validation, risks).
  • Lead development of credit rating models for retail or corporate or SME or project finance portfolios
  • Lead review, validation and enhancement of credit rating models for project finance portfolio
  • Developing a risk-based pricing framework to include the following:
  • Methodology for calculating Risk-Adjusted Return on Capital (RAROC) against the Economic Capital (EC).
  • Methodology for risk-adjusted performance assessment of business, areas and product types based on the developed credit ratings.
  • Implementation of IFRS 9 standards across Banks
  • Recommend and implement a methodology for Stage wise allocation of assets
  • Update the current PD models and compute PD estimates as per IFRS 9 guidelines
  • Develop LGD estimation technique and arrive at LGD estimates
  • Develop EAD estimation techniques and arrive at EAD estimates
  • Development and update of Policies and Procedures for Implementation of IFRS – 9
  • Reporting for the aforementioned models. Design reports templates
  • Developing / reviewing and enhancing stress testing models and approaches
  • Review and develop working and monitoring mechanisms for credit Portfolio in order to include the following general objectives:
  • Deep understanding and exposure to Credit risk management in Corporate/Wholesale portfolios
  • Setting the methodology/approach and standardizing risk measures and models.
  • Carrying out portfolio stress tests.
  • Undertake review of the credit portfolios of the Corporate Banking Group and/or SME Banking in order to monitor portfolio credit quality, identify portfolio trends with recommended actions for improvement in portfolio quality.
Company Profile

It  is a global consulting firm that delivers deep expertise, objective insights, a tailored approach and unparalleled collaboration. We help you confidently address challenges and opportunities in technology, finance, transformation, business process, risk, compliance, transactions and internal audit.

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