BB Portfolio Monitoring and Management Senior Officer

SSC Egypt

Posted on 29 Aug

Experience

6 - 10 Years

Job Location

Cairo - Egypt

Education

Any Graduation()

Nationality

Any Nationality

Gender

Not Mentioned

Vacancy

1 Vacancy

Job Description

Roles & Responsibilities

Monitor the portfolio by providing portfolio drilldowns and segmented analysis using quantitative models to ensure credit quality is being maintained across all products

2. Develop and monitor the portfolio trends for assigned products / segments, highlight any adverse trends, affecting the portfolio quality and impact on Products / Segments P&L and RAR to be highlighted and corrective actions to be taken accordingly

3. Monitor the early warning & fraud signals dashboards across the different segments to ensure the credit performance is kept under close watch and forecast future performance trends

4. Assist in the review of the comprehensive Portfolio Quality Reviews (PQRs) for all Asset Portfolios monthly, using generated reports to review all portfolio aspects including credit quality, competitiveness, financial prospective & ensure that losses are in line with forecasts and providing the required analysis and portfolio insights to the relevant Risk Committees including the BB Risk Committee, Operational Risk Committee, the fraud Management Committee and the Board Risk Committee

5. Participate in the credit review meeting for the product owners, where the performance of the portfolio is rigorously reviewed to ensure effectiveness of credit parameters and recommendations for policy changes if required and recommend policy changes and highlight possible portfolio growth opportunities as well

6. Conduct the ongoing performance review and validation of developed RR for credit Products

7. Develop enhanced forecasting modules to ensure provisions/ENR budget is adequate in line with Business Growth Plans

8. Working closely with remedial management unit to develop different strategies for different segments to ensure portfolios delinquencies and credit cost are optimized

9. Assist the team head in monitoring and interpreting regulatory, governance and global policy changes which impact LLR reserves

10. Monitor and track Products financial indicators term of profitability & cost of risk.

Desired Candidate Profile

Bachelor s degree of Economics, commerce, Business Administration, accounting or equivalent.

For Officer: Min. 6 years of relevant experience

For Senior Officer: Min. 8 years of relevant experience

Skills

Proficiency in Microsoft Office (Excel, word and Power Point)

Coding knowledge (SQL, SAS, R or Python) or SAS enterprise guide is preferable.

Able to analyse and interpret large volumes of data

learns to use professional concepts to resolve problems of limited scope and complexity under close supervision while achieving day-to-day objectives

Works on developmental assignments that are initially periodic in nature, requiring limited judgment and decision making.

Company Industry

Department / Functional Area

Keywords

  • BB Portfolio Monitoring And Management Senior Officer

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