Pawan Kumar Pandit

Pawan Kumar Pandit

Manager Credit, Market And Liquidity Risk @ Ocwen Financial

About Pawan Kumar Pandit

Pawan Kumar Pandit is a Manager specializing in Credit, Market, and Liquidity Risk at Ocwen Financial Solutions Pvt. Ltd. He has extensive experience in risk management, having held positions at HSBC and EXL, and holds an MBA in International Finance.

Current Role at Ocwen Financial Solutions

Pawan Kumar Pandit currently serves as the Manager of Credit, Market and Liquidity Risk at Ocwen Financial Solutions Pvt. Ltd. - APAC. He has held this position since 2022, working from Bengaluru, Karnataka, India. In this role, he is responsible for overseeing risk management strategies related to credit, market, and liquidity risks, ensuring the company effectively manages its financial exposure.

Previous Experience at HSBC

Pawan Kumar Pandit worked at HSBC for a total of seven years, from 2015 to 2022. He initially served as an Analyst from 2015 to 2017, followed by a promotion to Manager of Stress Testing from 2017 to 2022. His responsibilities included conducting stress scenario calibration for market risk and counterparty credit risk, contributing to the bank's risk management framework.

Experience at EXL and Aricent Group

Prior to his tenure at HSBC, Pawan Kumar Pandit worked as a Business Analyst at EXL for one year in 2014-2015, based in the Noida Area, India. He also gained experience as an Engineer at Aricent Group from 2012 to 2014 in Gurugram, Haryana, India. These roles provided him with a foundation in analytical and engineering skills relevant to his current risk management responsibilities.

Educational Background

Pawan Kumar Pandit holds a Master of Business Administration (MBA) in International Finance from Jain (Deemed-to-be University). He also earned a Bachelor's degree from the Birla Institute of Technology, Mesra. His educational background supports his expertise in financial risk management and analysis.

Expertise in Risk Management

Pawan Kumar Pandit has developed significant expertise in risk management, particularly in stress scenario calibration for market risk and counterparty credit risk. He focuses on monitoring exposure to market movements, which is essential for managing financial risks effectively. His involvement in broker review processes further underscores his commitment to maintaining robust risk management practices.

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