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Date live:
Feb. 04, 2025
Business Area:
Risk
Area of Expertise:
Risk and Quantitative Analytics
Reference Code:
JR-0000014553
Contract:
Permanent
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Explore locationJoin us as a "Portfolio Risk Manager" at Barclays, where you'll spearhead the evolution of our digital landscape, driving innovation and excellence. You’ll harness cutting-edge technology to revolutionize our digital offerings, ensuring unapparelled customer experiences.
This role is for a Portfolio Risk Supporter in the Private Bank Portfolio Risk team. Take the lead on continuous improvement of credit risk management information, metrics and reporting. Take the lead on special projects including credit risk systems change/enhancement, credit risk report in automation/self-service, and change/enhancement to credit risk tools, processes and model.Take ownership of the governance and control framework for all Private Bank Portfolio Risk in team tool. Support for the Head of Portfolio Risk.
To be successful as a "Portfolio Risk Manger", you should have experience with:
Some other highly valued skills may include
You may be assessed on the key critical skills relevant for success in role, such as risk and controls, change and transformation, business acumen strategic thinking and digital and technology, as well as job-specific technical skills
Job location-Mumbai.
Purpose of the role
To manage and optimise the bank's overall credit risk exposure by monitoring, analysing, and reporting on the creditworthiness of its lending portfolio.
Accountabilities
Analyst Expectations
All colleagues will be expected to demonstrate the Barclays Values of Respect, Integrity, Service, Excellence and Stewardship – our moral compass, helping us do what we believe is right. They will also be expected to demonstrate the Barclays Mindset – to Empower, Challenge and Drive – the operating manual for how we behave.