2. Sector-agnostic assessment of broad parameters relating to demand-supply scenario, cost structures, competitiveness and regulatory framework
3. Identify sectors that are expected to witness stress or likely to come out of stress based on early warning indicators, industry benchmarks, peer reviews
4. Provide medium term outlook on various parameters in the high exposure industries/ sectors in bank’s portfolio
5. Perform portfolio analysis to identify financial performance of companies within an industry and discuss trends
6. Develop industry specific financial and operational metrics for credit evaluation
7. Present research and reports to senior management and other stakeholders
8. 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)
9. Opportunity (optional) to participate in credit risk function for Financial Institution clients
Report