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Risk Analytics & Portfolio Manager

FatakPay

Mumbai, Maharashtra, India Full-time June 25, 2026

Found Description

Key Responsibilities

  • Portfolio Risk Monitoring – Enhance or Develop Dashboards required to efficiently monitor and manage risk across various products, acquisition channels and partners. 
  • Enhance EWS Monitoring framework to identify risk triggers at an early stage
  • Manage monthly reporting to Management and quarterly reporting to Board for key portfolio risk metrics, including EWS, Delinquencies, Statics Pool Analysis, Write-Offs and Recoveries
  • Leverage statistical techniques to improve credit underwriting across the products
  • Use predictive modeling techniques to develop new or recalibrate existing risk models


Eligibility / Qualification

  • Education – A minimum of Graduate Degree
  • Technical Skills – SQL, Excel, Python, R
  • Experience in BFSI Industry in the Risk Function
  • Good grasp of lending KPIs – DPD flows, vintage, net recovery, charge-offs

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