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585 jobs found for Risk Management - Insurance Mumbai

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  • 1.Maintain, develop, and optimize credit risk rules and eligibility workflows to maximize the efforts of the credit specialist team; utilize analytics to optimize existing credit risk monitoring strategies in order to reduce false positive rates and increase credit risk detection rates 2.Establish

  • with the risk managers in the trading centres on a daily basis to help manage their market exposure, set & review risk strategies - Daily analysis and interpretation of the results of risk sensitivities and stress tests - Preparation of risk reports for traders and senior business management - Monitoring

  • Establishment of customer risk class Consistent review of information provided by customer or sales personnel and additional information gathered by the credit department. Experience in Customer Credit Analysis. worked in Shared service industry ready to work on shift B.COM in Accounting, Finance or business related field. Credit certification preferred. 4 to 8 years of commercial/industrial credit or ...

  • and issues of importance to senior - Risk Management/Trading Heads - Re-engineer the risk reporting process including interactions with Risk and front Office technology personnel to drive improvements Key Skills: - Masters(MBA preferred) with strong technology skills in VBA/Excel - Fluent in English ...

  • risk, etc.) - Identification of Key risk areas under the products / processes. Suggest mitigation Control Framework - Analysis of Material Controls design & failures, if any. - Analysis of Key audit findings pertaining to Key risk areas Required Profile: Minimum of 5-7 years Experience in Retail

  • risks for operational as well as senior management consumption Experience in maturing various operational processes to increase their efficiency and effectiveness Knowledge of risk assessment of Business and IT processes, BCP/DR, projects etc. and developing suitable mitigation plans for the same ...

  • 5+ years of experience in handling credit proposals of Large/Mid/SME segment Preparation and analysis of CMA and good knowledge on risk analysis. Undertaking verification through third party sources, such as CIBIL, MCA, banks, etc ...

  • 5+ years of experience in handling credit proposals of Large/Mid/SME segment Preparation and analysis of CMA and good knowledge on risk analysis. Undertaking verification through third party sources, such as CIBIL, MCA, banks, etc. * interaction with clients and financial institutions, assessment of credit requirements and structuring of appropriate deals, preparation of proposals. . Ratio analysis Scrutiny of ...

  • analysis experience a must. Working in shared service industry preferred. 4 to 8 years of commercial/industrial credit or financial management, credit management, t rade finance experience . Excellent English with listening, negotiating and written communication skills a must with soft skills attributes

  • Managing ICAAP for the Bank Credit Risk Stress Testing Pillar II Stress Testing RAROC Process for the Bank Capital management / allocation / Risk Aggregation Periodic risk reporting to the senior management and the Board risk committee

  • - Responsible for Key Account Management of Corporate Clients through direct sales- Generating business, developing & maintaining client relationship, rendering consistent services.- Managing client's insurance portfolio and renewing & selling insurance products- Providing tailor made services

  • of Kalyptos products, giving RFPs responses etc. He/She should be able take ownership of a product and get the necessary upgrades carried out as per regulatory changes. Pre-requisites: Candidate should ideally have 5+ years of banking experience, especially in Risk Management. Understanding of different risk

  • Researching and developing appropriate methodologies and processes to establish Risk Appetite, including updating of policies, procedures and risk appetites statements - Preparation of various regulatory submission material on Risk Appetite Framework to FINMA, Fed and other supervisroy colleges - Driving

  • Researching and developing appropriate methodologies and processes to establish Risk Appetite, including updating of policies, procedures and risk appetites statements - Preparation of various regulatory submission material on Risk Appetite Framework to FINMA, Fed and other supervisroy colleges - Driving

  • Experience: 4 - 8 years Qualification: Master's Degree Following is the Job Synopsis but not restricted to : - Prepare monthly / quarterly risk reports and conduct analysis - Deliver ad-hoc and time sensitive requests - Lead or participate in projects that will enable more consistent

  • Experience: 4 - 8 years Qualification: Master's Degree Following is the Job Synopsis but not restricted to : - Prepare monthly / quarterly risk reports and conduct analysis - Deliver ad-hoc and time sensitive requests - Lead or participate in projects that will enable more consistent

  • Proactive Interpretation of Data; Detection and Presentation of likely problem areas (including self-designing of various Reports for early warning indicators) Recommendations to management based on above analytics Data analytics for various departments & Presentations to Senior Management Conduct

  • such as Economic Risk Capital or Stress Testing frameworks - Understanding of balance sheet accounting consolidation/non-consolidation rules, firm-level financial ratios and typical strategic financial objectives/targets - High standard of written English, and experience of producing formal documentation ...

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