Description
Develop in-house expertise by providing sharp and incisive analysis on all high exposure industries/ sectors in bank’s portfolio • Sector-agnostic assessment of broad parameters relating to demand-supply scenario, cost structures, competitiveness and regulatory framework • Identify sectors that are expected to witness stress or likely to come out of stress based on early warning indicators, industry benchmarks, peer reviews • Provide medium term outlook on various parameters in the high exposure industries/ sectors in bank’s portfolio • Perform portfolio analysis to identify financial performance of companies within an industry and discuss trends • Develop industry specific financial and operational metrics for credit evaluation • Present research and reports to senior management and other stakeholders • Publish reports covering trends and outlooks for key sectors, auto sales data, commodity prices, industry health, etc. while taking responsibility for regulatory submissions (incl. stressed sectors, co-related sectors) Opportunity (optional) to participate in credit risk function for Financial Institution clients