Arpit Shah
Senior Manager, Capital Markets @Ocwen Financial Solutions Pvt. Ltd. - APAC
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WORK HISTORY
Senior Manager, Capital Markets @Ocwen Financial Solutions Pvt. Ltd. - APAC
Mumbai, IN
Management of Mortgage Servicing Rights (MSR) portfolio, overseeing valuation methodologies, ensuring compliance with regulatory requirements, and optimizing profitability. Develop and implement sophisticated valuation models to assess MSR portfolio performance and make informed strategic decisions. Currently performing Valuations through MIAC model (applications such as WinOAS, VAST, DatatRaptor) and also using Compass (Optimal Blue) application model Analyze market trends and economic indicators to anticipate changes in interest rates and their impact on MSR portfolio performance. Collaborate cross-functionally with risk management, finance, and operations teams to optimize MSR portfolio performance and minimize financial risks. Conducted thorough DCF (Discounted Cashflows) valuations to assess the intrinsic value of MSR portfolios. Pricing new deals for MSR Acquisition or Sale for portfolio optimization and Capital requirements.Work with Subservicing partners on new deals and offerings Monitor and report on key performance indicators, providing actionable insights to senior management for decision-making. Implement portfolio management best practices to enhance operational efficiency and achieve business objectives. Reporting on Hedge Valuations to design and execute hedging strategies to mitigate interest rate risk exposure and enhance portfolio stability
EDUCATION
Madurai Kamaraj University
Bachelor's degree
ABOUT ARPIT SHAH
Senior Manager – Capital Markets | MSR Valuation & Strategy | Risk Management | FRM® Mumbai | 19+ Years in Mortgage Banking | MSR Portfolio | Interest Rate Risk | Operational RiskI’m a Senior Manager in Capital Markets with over 19 years of experience across Mortgage Servicing Rights (MSR) valuation, portfolio management, risk management, and regulatory compliance. As a certified Financial Risk Manager (FRM®), I specialize in optimizing MSR portfolios using advanced valuation tools like MIAC WinOAS, VAST, and Compass (Optimal Blue), combined with DCF modeling and strategic pricing analysis.In my current role at Ocwen, I lead the valuation and analytics of MSR portfolios, support acquisition/sale deal pricing, and help drive capital efficiency. I also partner with risk, finance, and operations teams to manage interest rate risk, execute hedge strategies, and ensure regulatory alignment.Earlier, I led operational risk governance for MSR processes—building policy frameworks, conducting RCSAs, and strengthening enterprise risk controls across the organization.I’m passionate about bridging analytics with execution, building strong cross-functional teams, and aligning capital markets strategy with performance goals. I thrive in fast-paced environments that demand both deep expertise and adaptability. Core Skills:• MSR Valuation & Portfolio Management• Capital Markets & Deal Pricing Strategy• Interest Rate Risk & Hedging• Operational & Enterprise Risk (RCSA, ERM, PolicyTech)• Regulatory Governance & Compliance• Cross-Functional Collaboration• Mortgage Banking (Servicing, Originations, Default Ops)• Team Leadership & Strategic Reporting
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