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Job Description

Level
Role Definition
Requisition
Details

AM / Manger
Portfolio Management
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Financial Analysis of the borrower/ security company
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Analysis of financial impact of events
Independent Valuation of Unlisted Securities,
Undertake Portfolio Health Grading,
Assist in undertaking periodic risk review,
Escalate Critical Risk findings and or breaches

Applicant Background

Experience

Education

Minimum
years
Preferred
industry
Preferred Role

1/2 years

Preferred
Education Pool

Post Graduate qualification in Finance (MBA/CA)

Functional
Skills

Skill-set

Soft skills

Banks, NBFC
Risk Analyst

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Analytical ability to understand business issues,
identifying root causes and should be solution oriented.
Strong Working Knowledge of Excel (able to work with
basic Macros), Power Point, etc.
Some Exposure or knowledge of Credit & Market risks
within Financial Services Industry,
Ability to communicate effectively at all levels.
Effective interpersonal skills for interfacing with
management.
Willingness to Learn & adapt to challenging situations
Self driven with positive attitude,
Team Player, self confident, and able to work under
pressure
Should have an Analytical bent of mind to understand the
diverse complex business issues & identifying risk issues.

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