Majid Asadullah

CEO

Mumbai, Maharashtra, India18 yrs 10 mos experience
Highly Stable

Key Highlights

  • Expert in risk management and governance for major card portfolios.
  • Proven track record in credit and fraud risk strategy.
  • Strong analytical skills in financial modeling and business strategy.
Stackforce AI infers this person is a Fintech expert with a strong focus on risk management and analytics.

Contact

Skills

Core Skills

Risk ManagementRisk AnalyticsPortfolio Risk ManagementUnsecured LendingEquity BenchmarkingQuantitative ResearchPortfolio Risk AnalysisBusiness Intelligence

Other Skills

Asset Quality ReviewCredit UnderwritingPortfolio ManagementCollections StrategyAuth and Fraud StrategyCredit bureaus and card networksAutomationDigital and TechnologyScorecards and GovernanceDevelop StrategiesMaximize Risk Weighted RevenuesNew Product DevelopmentRiskAnalyticsFinancial Modeling

About

Expertise: Credit Bureau Product Management Risk Management and Governance Regulatory compliance Cards and payments Credit and fraud risk strategy Analytics and modeling Business Strategy

Experience

Experian india

Head of Product

Jul 2024Present · 1 yr 8 mos

Sbi card

SVP, Head-Risk Management, Analytics

Dec 2013Jun 2024 · 10 yrs 6 mos

  • Risk management and governance for India’s second largest cards portfolio
  • Risk Analytics
  • Asset Quality Review
  • Credit Underwriting
  • Portoflio Management
  • Collections Strategy
  • Auth and Fraud Strategy
  • Credit bureaus and card networks
  • Automation, Digital and Technology
  • Scorecards and Governance
Risk ManagementRisk AnalyticsAsset Quality ReviewCredit UnderwritingPortfolio ManagementCollections Strategy+5

Citifinancial

2 roles

Portfolio Risk Strategy

Promoted

May 2010Dec 2013 · 3 yrs 7 mos

  • Portfolio risk management- Unsecured Lending
  • Developed strategies for portfolio actions to maximize risk weighted revenues
Portfolio Risk ManagementUnsecured LendingDevelop StrategiesMaximize Risk Weighted Revenues

Analytics Manager

Jan 2005Jan 2006 · 1 yr

  • Portfolio Risk Analysis
  • Business Intelligence
Portfolio Risk AnalysisBusiness Intelligence

Morgan stanley capital international

Quantitative Equity Research

Jan 2006Jan 2008 · 2 yrs

  • Equity Benchmarking: Quantitative Research and New Product Development
Equity BenchmarkingQuantitative ResearchNew Product Development

Education

Indian Institute of Management, Calcutta

MBA — Finance

Jan 2008Jan 2010

CFA Institute

CFA L1 — Finance

Jan 2007Jan 2007

Indian Institute of Technology, Kharagpur

B.Tech

Jan 2001Jan 2005

King's College London

Chevening Financial Services Fellowship — Financial services

May 2022Present

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