Find your dream job now!

Click on Location links to filter by Job Title & Location.
Click on Company links to filter by Company & Location.
For exact match, enclose search terms in "double quotes".

Keywords: Risk Portfolio Analyst, Location: Mumbai, Maharashtra

Page: 6

Real Estate Underwriting - Officer

administering a multi-billion-dollar portfolio of real estate and asset securitization transactions. The analyst will support... transactions for risk rating and stress testing purposes Assist with special projects including stress testing, portfolio...

Company: Citigroup
Posted Date: 11 Oct 2025

Manager - Investments

– Investments Sustainable Investments The Sustainable Investment Analyst will sit within Mercer’s Investment Management... (IM) team reporting to the Sustainable Investment Leader, Pacific. The analyst will play a key role in leading environmental...

Company: Marsh McLennan
Posted Date: 11 Oct 2025

Leveraged Finance Credit Underwriting - Officer

an Snr Analyst to join its Analytics team. The Snr Analyst is a professional with the goal to deliver best-in-class credit... risk analysis, monitoring and credit administration as a partner to broader ICM Underwriting and Banking, Capital Markets...

Company: Citigroup
Posted Date: 03 Oct 2025

RC&WC - LC:Industry Research

Location: Co, Mumbai About Department About the Role Sector analyst is required to have in-depth knowledge of 2-3 sectors..., supply, competition, pricing, margins, regulatory risk, financials, etc.), making presentations to senior management & giving...

Company: Axis Bank
Posted Date: 03 Oct 2025

Manager Consumer Product

of consumer information. We aim to be more than just a credit reporting agency. We are a sophisticated, global risk information... products with lending portfolio management Or work-ex in consulting domain handling portfolio of banking clients...

Company: TransUnion
Posted Date: 02 Oct 2025

Director - Credit Analysis

our clients may face and help them meet their financial and business objectives. Credit Analyst is part of the relationship team... Manager and risk approvers on preparation of the full credit application package covering limit proposal and all relevant risk...

Posted Date: 01 Oct 2025

Exotic Derivatives Strats _ Manager _ Institutional Equity Division

professionals use our network and technology to provide liquidity and sophisticated analysis, to manage risk and execute reliably..., market access and portfolio management needs. Global Markets Group is the offshoring arm of Morgan Stanley’s Sales...

Company: Morgan Stanley
Posted Date: 18 Sep 2025

Credit Solutions Asia - Trading Enabler, Associate

return/risk expectations. Desk is seeking to hire strong candidate to work on wide variety of trades including... but not limited to bonds/RMBS/ABS/CDS portfolio management and total return swaps, vanilla bond repacks, Credit Linked Notes and its...

Company: Deutsche Bank
Posted Date: 17 Sep 2025

Credit Manager-Wholesale Banking

Job Requirements Role/ Job Title: Analyst-Industry Research Function/ Department: Wholesale Banking Risk... to mitigate credit risk. Ensure credit policies and risk appetite criteria are adhered regularly, Analysis of portfolio...

Posted Date: 29 Aug 2025

VP - Credit Management

and support in portfolio related matters. Quality review of work submitted the analyst teams and ensure compliance with local... surprises in sudden dip in BR. Lead/ Drive portfolio/ sector risk processes for assigned sector(s), including Watchlist...

Company: MUFG
Posted Date: 28 Aug 2025

Senior Executive - Procurement

that keeps them fresh and nutritious. Our diverse portfolio allows you to have a full meal option with the newly launched range..., Production, Finance, and Marketing to ensure smooth operations. Risk & Market Intelligence: Identify risks, monitor markets...

Company: Godrej & Boyce
Posted Date: 27 Aug 2025

Exotic Derivatives Strats - Senior Associate - Institutional Equity Division

. Morgan Stanley professionals use our network and technology to provide liquidity and sophisticated analysis, to manage risk... for their financing, market access and portfolio management needs. Global Markets Group is the offshoring arm of Morgan Stanley’s Sales...

Company: Morgan Stanley
Posted Date: 23 Aug 2025

Senior Manager-Treasury,Investor Relations and M&A-Corporate Finance-CORP

Purpose of the Role The portfolio related to forex involves booking of daily rates and cancelling hedges, analysing... forex markets and exploring various hedging strategies, risk management, analysing MTM and hedging performance, developing...

Company: Tata Motors
Posted Date: 27 Jul 2025

Credit & Surety Underwriter

/recovery. Assess, negotiate, and underwrite the offers from new business prospects with risk portfolio analysis on the... a diversified and innovative range of solutions and services to control and manage risk. A long-term focus & reliable P&C...

Company: SCOR
Posted Date: 27 Jul 2025