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Tier-1 brand, mid-level generalist title, metro location, and broad skillset create high applicant competition.
Role requires treasury, lending and portfolio risk domain expertise, making background fit highly sensitive.
Explicit 4-5 years plus many mandatory technical tools and analytics skills drives high shortlisting strictness.
Review and analyze retail and wholesale portfolios monthly for delinquency, losses, and fraud.
Design and implement risk assessment models and loss forecasting for portfolios; present reports and recommendations to senior management quarterly.
Lead automation of MIS and dashboards, coordinate with IT on system improvements, and support audit and regulatory compliance processes.
4-5 years of experience in MIS Automation and portfolio risk analysis.
Expertise in SAP BO, SQL, MS Access, MS Excel, PowerPoint, and VBA Macros.
Proficiency with analytics tools like R, SAS, Knime, Pentaho.
Fluent English communication skills; comfortable presenting to senior management and technical teams.
Experienced in portfolio risk management specifically for secured and unsecured retail lending.
Strong numeracy and problem-solving skills with attention to detail and ability to interpret data for business insights.
Able to coordinate cross-functional teams and manage technical automation projects involving MIS and reporting systems.