





Tier-1 bank and Gurgaon location increase competition, but senior niche credit risk role lowers generalist applicant density.
Domain-specific mortgage credit risk and regulatory compliance focus reduces cross-industry transferability.
Explicit 10–13 years plus specialized credit risk and SAS requirements create highly strict shortlisting.
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Manage Citi's global mortgage portfolio credit risk by conducting credit reviews, approvals, and monitoring credit migration in coordination with Risk Management.
Develop and implement credit policies using data analysis (including SAS in UNIX) to set risk appetite and ensure regulatory compliance.
Prepare senior management presentations on portfolio risk levels and support risk policy analyses and ad-hoc projects.
10-13 years of relevant experience in credit risk or related field.
Bachelor's degree or equivalent experience required.
Proficiency in Statistical Analysis System (SAS) within a UNIX environment for data and risk analysis.
Flexible to work shift from 1 PM to 10 PM.
Experienced in commercial risk analytics with strong ability to apply credit and risk principles to business objectives.
Skilled in synthesizing and prioritizing complex information to drive timely results in a fast-paced environment.
Capable of managing multiple projects with strong organizational, interpersonal, and analytical skills.