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Tier-1 brand, metro location, and mid-level finance role increase applicant competition density.
Role requires specialized banking, regulatory and portfolio experience, limiting cross-industry transferability.
Requires domain-specific structured finance, regulatory and banking experience, so moderate filtering expected.
Manage portfolio oversight activities including monitoring exposures, concentrations, and performance trends within corporate lending and risk transfer business.
Support and manage structured finance risk transfer transactions including credit risk transfer and securitization programmes, ensuring compliance with transaction guidelines.
Deliver business and regulatory reporting, drive portfolio analytics, and partner with global stakeholders for strategic portfolio and capital optimization initiatives.
Bachelor's or Master's degree in Finance.
Strong quantitative and analytical skills with proficiency in Microsoft Excel and PowerPoint.
Technical knowledge of financial products, credit risk, portfolio management; knowledge of structured finance, securitization, regulatory capital or risk transfer is advantageous.
Work Experience Required: Not explicitly mentioned in the JD. Location: Mumbai, India.
Experience operating in portfolio management within global corporate banking, with exposure to credit risk and structured finance.
Ability to support complex stakeholder coordination across regions and functions, including business, risk management, finance, and technology.
Demonstrated capability in leveraging data analytics, technology, and AI tools to optimize workflows and decision-making under tight deadlines.