Risk Manager - Mortgage Collateral Risk

Kotak Mahindra Bank

Mumbai/Bombay

Not disclosed

Work from Office

Full Time

Min. 10 years

Job Details

Job Description

Risk Manager-Support Services-Consumer Risk

Job Description – Risk Manager, Mortgages

 

Band : M5/M6/M7

 

Job Purpose: 

 

To manage collateral risk across the mortgage portfolio by ensuring continuous monitoring of collaterals onboarded, assess technical & legal deviations taken at approval stage. The role involves creation of collateral policies, establish market specific collateral processes and conduct hindsight of the cases. 

 

Key Responsibilities:

 

  • Policy Development: Formulate and maintain collateral policies for diverse mortgage products, including Loan Against Property (LAP), Home Loans (HL), and Affordable HL/LAP. 
  • Policy Review & Enhancement: Conduct periodic reviews of existing policies and recommend revisions based on portfolio performance and emerging trends. 
  • Risk Assessment: Perform daily hindsight analysis at the case level for all approved and/or disbursed cases to ensure compliance and mitigate risk. Initiate market value audit process for disbursed cases and identify gaps, if any. 
  • System Configuration: Ensure accurate configuration of collateral workflows within the system and propose necessary enhancements to optimize processes. 
  • BRE Implementation: Implement collateral-related policy rules in the Business Rules Engine (BRE) to strengthen governance and controllership. 
  • Risk Management Framework: Design and maintain a comprehensive risk management framework encompassing identification, assessment, mitigation, monitoring, and reporting of risks. 
  • APF Management: Oversee Approved Project Finance (APF) policies and processes, and develop builder/project scorecards for effective evaluation. 
  • Regulatory Compliance & Control: Assess products, programs, and policies to ensure alignment with regulatory guidelines, and establish robust risk controls across all functions, including Onboarding, Credit, Operations, Fraud, and Reputation Management.

 

Job Requirements:

 

  • BE (Civil) / B.Arch / MBA (Construction Finance or Project Management)
  • 10-12 years of experience of managing collateral risk and/or collateral assessment in Banks/NBFCs/HFCs 
  • Must have understanding of builder categorization scorecard
  • Must have experience of handling APF process
  • Should have experience in handling legal evaluation in mortgage portfolio 
  • Experience in implementing scorecard models in collateral policy and credit decisioning process.
  • Experience in implementing BRE and rule-based underwriting and enabling automation of credit checks. 

Experience Level

Senior Level

Job role

Work location

Mumbai, Maharashtra, India

Department

Risk Management & Compliance

Role / Category

Risk Management - Assessment / Advisory

Employment type

Full Time

Shift

Day Shift

Job requirements

Experience

Min. 10 years

About company

Name

Kotak Mahindra Bank

Job posted by Kotak Mahindra Bank

Apply on company website