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Credit Portfolio Analyst C10 - Risk Policy Testing

Job Req ID 21333136 Primary Location Pune, India Job Category Risk Management
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Responsibilities:

  • Strong understanding of risk management and business strategies /actions and risk policies.
  • Proficient in SQL, SAS, in a UNIX and mainframe environment.
  • Develop Test Strategy/Test plan for new/existing policy changes by interacting with multiple business stakeholders
  • Work with project teams to establish functional test environments, set up test data/accounts to facilitate functional testing
  • Able to interpret Testing Strategy and Plan to support implementation of the Testing schedule, scope, scripting, and follow on analysis and recommendations.
  • Analyze and report test results; work with coding team to resolve issues; work with team to move from reacting to issues to proactively preventing them
  • Experience in preparing test plans, devising manual test strategies, managing test data and ability to identify functional requirements through business requirements analysis.
  • Experienced with test estimation, preparing test acceptance criteria and test Reports
  • Defects trend analysis and status reporting
  • Well versed with QA metrics and SLAs
  • Self-directed and highly adaptive to changing priorities

Qualifications:

  • 2-5 years of work experience in financial services or Management consulting with in depth data analysis on consumer credit policies management. 
  • Bachelor’s degree in Computer Science or an analytical field is a minimum. Master’s degree is a plus

Domain and Process Expertise:

  • Strong understanding of risk management and credit strategies
  • Project/testing/experience in a Main Frame and Client Server environment
  • Experience in policy Agile project life cycle for implementing/testing changes

Technical:

  • Expertise in SAS Base, Statistics, SQL
  • Micro Focus Application Lifecycle Management (ALM)
  • IBM Mainframe, JCL and Unix experience is a plus
  • MS Office Suite (including Access and PowerPoint)

Management/Communication/Analytics:

  • Ability to manage effectively in a high pressure organization with multiple deadlines
  • Data oriented with ability to quickly understand complex strategies and concepts and drive them into actionable recommendations
  • Strong Analytical capabilities, Strong verbal and written communication skills.

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Job Family Group:

Risk Management

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Job Family:

Credit & Portfolio Risk Management

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Time Type:

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Qualified applicants will receive consideration without regard to their race, color, religion, sex, sexual orientation, gender identity, national origin, disability, or status as a protected veteran.

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