Senior Manager Of Risk Management, Credit Card Acquisition
By SoFi At Cottonwood Heights, UT, United States
Excellent communications and presentation skills; ability to deliver business proposals and present results to senior management
Preferred: Proficient skills in SQL and Python; knowledge in Decision Trees and Tableau
7+ years of credit risk strategy experience in credit cards acquisition, preferably with strong business acumen in Near-Prime credit segment
Experience in building credit risk strategies for unsecured credit / lending, preferably in near-prime, new-to-credit and thin file segments
Expert analytical skills to drive business results through data driven business proposals
Proficiency in using Excel / Spreadsheet and Powerpoint / Slides
Loan Portfolio Credit Risk Analyst - Senior Associate (Open To Remote)
By Fannie Mae At Washington, DC, United States
Risk assessment and management skills including evaluating and designing controls, conducting impact assessments, identifying control gaps, and remediating risk
Relationship management skills including managing and engaging stakeholders, customers, and vendors, and building relationship networks
Implement plans or decisions to manage risks or mitigate their impact.
2 years of relevant experience
4 years of relevant experience and Master’s degree or equivalent strongly desired
Experience analyzing credit risk and the Regulatory Capital Rule preferred
Loan Portfolio Credit Risk Analyst - Lead Associate (Open To Remote)
By Fannie Mae At Washington, DC, United States
Experience of the Final Capital Rule (ERCF) is preferred.
Experience gathering accurate information to explain concepts and answer critical questions
Skilled in presenting information and/or ideas to an audience in a way that is engaging and easy to understand
The group of skills related to Influencing including negotiating, persuading others, facilitating meetings, and resolving conflict
Skilled in Python object-oriented programming
THE EXPERIENCE YOU BRING TO THE TEAM
Credit Risk Analyst - Portfolio Insight
By Harnham At England, AR, United States
Experience in stakeholder management and communication
Experience using and understanding of SAS
Prior experience in analysing large amounts of customer data in a consumer lending environment
Desirable to have had experience in credit forecasting
Deliver insights into policy and processes, providing recommendations on improvements and optimisation across a broad range of customer data
Working on exciting ad hoc projects to monitor customer behaviours and trends
Credit Portfolio Manager Jobs
By Silo At United States
Develop, implement, and maintain a portfolio risk management strategy across all credit products and programs
Develop tools and processes for monitoring and reporting on risk along with proactive measures to manage delinquencies and avoid escalations
Manage relationships and own data-sharing protocols with banking partners and payment processors
Ability to work cross-functionally with finance, operations, product, account + implementation, sales, and engineering teams
Find insights and learnings that can be used to enhance existing underwriting processes and inform policy updates
Own researching, developing, and reporting on credit KPIs and develop recommendations for improvements
Credit Portfolio Analyst - Ap
By Paychex At Highland Hills, OH, United States
Acts as a point of contact for Senior Credit Analysts and Senior Management for end debtor credit limits and reviews.
Implements and maintains super user status for portfolio management risk-based software
Identifies and implements process improvements, manages special projects as assigned by senior management.
3 years of experience in Banking/Finance/Accounting environment with emphasis on commercial credit.
Bachelor's Degree in Business, Finance, or Accounting related - Preferred
Approval of credit limit decisions up to a determined amount.
Credit Risk Underwriter - Enterprise Portfolio Management
By Square At Atlanta, GA, United States
Develop partnerships with Sales and Account Management teams to ensure underwriting, onboarding, and account management processes are timely, seamless, and well-understood.
Identify and execute on high-level initiatives aimed at improving our portfolio management processes at scale
Contribute to the continued development of credit policies and lead the testing of new risk management tools
Comfort with diverse risk management tools and techniques
3+ years of experience in commercial banking, credit, or payment industries
Exceptional underwriting and financial statement analysis skills
Vp Credit Risk Manager (Banking Loan Portfolio)
By Ascendo Resources At Miami, FL, United States
Assist risk management in the design and implementation of risk reporting across various media.
Actively participate in risk management committees.
Candidates with less banking experience but outstanding skills may be considered.
Bachelor’s degree in a quantitative discipline (e.g. Statistics, Finance, Mathematics, Engineering, Economics).
A minimum of 7 years of experience in commercial credit granting
Extensive knowledge of commercial underwriting and familiarity with commercial real estate in the Florida market.
Vp Credit Analyst / Portfolio Manager - Energy Sector
By Edenthorpe Search At New York, United States

5-7 years of banking experience in project finance with a minimum of 3-4 years of direct portfolio management, underwriting experience

Demonstrates strong underwriting and projection skills with a view to project finance activities

Senior Credit Portfolio Consultant
By Wells Fargo At Salt Lake City, UT, United States
3+ years experience with SAS or SQL, or other data management, reporting and query tools
Collaborate and consult with peers, colleagues, and mid level managers to resolve credit portfolio issues and achieve goals
Lead projects, teams, or serve as a mentor for less experienced staff
3+ years experience in financial services or banking
Experience with Tableau or other business intelligence software experience
Knowledge and understanding of Python
Credit Portfolio Management Analyst
By Regions At , Birmingham, 35203, Al

Thank you for your interest in a career at Regions. At Regions, we believe associates deserve more than just a job. We believe in offering performance-driven individuals a place where they can build a ...

Acquisition Analyst Jobs
By Gridiron IT At Alexandria, VA, United States
-Experience working with senior government executives and staff
-Possession of excellent oral and written communication skills
-Strong attention to detail and organizational skills
-Awareness of acquisition pathways, the adaptive acquisition framework, and NDAA defense acquisition guidance
Svp - Credit Portfolio Sr Manager (Sears) - Hybrid
By Citi At Elk Grove Village, IL, United States
10+ years of relevant risk management or financial services experience required
3+ years of people management experience, including experience as a manager of managers
Strong interpersonal skills and ability to influence at all levels of management
Superior leadership and team building skills, with a strong track record for attracting and developing high performing risk management talent
Existing Customer Account Management strategy development and execution, key to which are: Balance Consolidation, Sales Growth Initiatives
Delivery of strategic initiatives and management of new and emerging risks
Svp Credit Portfolio Group Manager {Hybrid}
By Citi At Elk Grove Village, IL, United States
10+ years experience in financial services, preferably in Risk Management 
3+ years of people management experience, including experience as a manager of managers
Excellent overall business judgment and solid management skills
Present strategies and policies to senior management for approval, including credit, fair lending and legal forums
Track and report on initiatives, performance results, emerging trends and opportunities to senior management
Experience in Statistical tools - SAS/SQL, R, Python, Knowledge Studio
Credit Portfolio Manager Jobs
By Hudson River Trading At New York, NY, United States
Minimum 2 years experience trading and managing publicly traded, corporate credit risk, buy-side experience strongly preferred
Extensive experience with Bloomberg terminal, Microsoft Excel
Fundamental analysis skill sets preferred, but not required
Strong ability to understand, analyze and digest fundamental credit research
In-depth understanding of the impact and influence of factors in portfolio construction
Basic proficiency in Python programming
Acquisition Analyst Jobs
By PRIDEROCK CAPITAL PARTNERS, LLC At Palm Beach Gardens, FL, United States
• Financial modeling of acquisition, disposition, asset management and development deals
• Undergraduate degree in Economics/Finance/Real Estate or similar
• Proficiency in Excel, advanced financial modeling skills
• Excellent organizational and problem-solving skills with attention to detail
• Strong quantitative, analytical and communication skills
• Real estate investment experience or internship is Highly Preferable!
Portfolio Manager - Systematic Credit
By Algo Capital Group At New York, United States
Strong knowledge and experience in Systematic Credit trading, including various options strategies and risk management techniques.
Experience with Systematic Credit trading platforms, risk management systems, and trading tools.
Mentor and provide guidance to junior traders, including training on trading techniques and risk management.
Manage risk effectively to achieve desired risk-adjusted returns.
Excellent analytical skills and ability to analyze complex market data.
Strong coding skills in languages such as Python, R, or MATLAB for data analysis and modeling.
Senior Manager Of Risk Management, Credit Card Acquisition
By SoFi At Charlotte, NC, United States
Excellent communications and presentation skills; ability to deliver business proposals and present results to senior management
Preferred: Proficient skills in SQL and Python; knowledge in Decision Trees and Tableau
Expert analytical skills to drive business results through data driven business proposals
Proficiency in using Excel / Spreadsheet and Powerpoint / Slides
A history of success in leading initiatives and driving results
Proven business acumen in credit cards and other lending products
Senior Manager Of Risk Management, Credit Card Acquisition
By SoFi At United States
Excellent communications and presentation skills; ability to deliver business proposals and present results to senior management
Preferred: Proficient skills in SQL and Python; knowledge in Decision Trees and Tableau
Expert analytical skills to drive business results through data driven business proposals
Proficiency in using Excel / Spreadsheet and Powerpoint / Slides
A history of success in leading initiatives and driving results
Proven business acumen in credit cards and other lending products
Director, Credit Risk & Portfolio Management
By Royal Bank of Canada At , Raleigh, 27617, Nc
Conduct ad-hoc analysis related to risk management, investor services, product, and operations
Develop and enhance the Credit Reporting & Monitoring framework which meets the requirements of various external & internal stakeholders.
Develop credit strategies to improve the credit performance by using data, statistical models and advanced analytics tools to optimize risk decisions
Bring innovative/out of the box thinking to make recommendations and to approaching/solving problems
Provide leadership and 2nd line support to the development of new business strategies
Continue to innovate by testing new data, analytics approaches and models working closely with Enterprise and other Risk functions

Are you looking for an exciting opportunity to join a dynamic team and help shape the future of Acquisition Portfolio Credit Risk? We are looking for a motivated and experienced Acquisition Portfolio Credit Risk Analyst to join our team and help us identify, analyze, and manage credit risk across our portfolio. You will have the opportunity to work with a wide range of stakeholders to develop and implement strategies to mitigate risk and maximize returns. If you are looking for a challenging and rewarding role in a fast-paced environment, this is the job for you!

Overview:

An Acquisition Portfolio Credit Risk Analyst is responsible for analyzing and monitoring the credit risk of a portfolio of loan and investment products. The analyst will be responsible for developing and implementing strategies to mitigate credit risk, as well as providing guidance and advice to senior management on credit risk management.

Detailed Job Description:

The Acquisition Portfolio Credit Risk Analyst will be responsible for analyzing and monitoring the credit risk of a portfolio of loan and investment products. The analyst will be responsible for developing and implementing strategies to mitigate credit risk, as well as providing guidance and advice to senior management on credit risk management. The analyst will also be responsible for developing and maintaining credit risk models, analyzing credit risk trends, and monitoring credit risk exposures. The analyst will also be responsible for developing and maintaining credit risk policies and procedures, and ensuring compliance with all applicable regulations.

What is Acquisition Portfolio Credit Risk Analyst Job Skills Required?

• Strong analytical and problem-solving skills
• Knowledge of credit risk management principles and practices
• Knowledge of financial markets and products
• Ability to interpret and analyze financial data
• Ability to develop and maintain credit risk models
• Ability to develop and maintain credit risk policies and procedures
• Ability to work independently and as part of a team
• Excellent communication and interpersonal skills
• Proficiency in Microsoft Office Suite

What is Acquisition Portfolio Credit Risk Analyst Job Qualifications?

• Bachelor’s degree in finance, economics, or a related field
• At least 5 years of experience in credit risk management
• Professional certification in credit risk management (e.g. FRM, PRM, etc.) is preferred

What is Acquisition Portfolio Credit Risk Analyst Job Knowledge?

• Knowledge of credit risk management principles and practices
• Knowledge of financial markets and products
• Knowledge of financial regulations and compliance requirements
• Knowledge of credit risk models and analytics

What is Acquisition Portfolio Credit Risk Analyst Job Experience?

• At least 5 years of experience in credit risk management
• Experience in developing and maintaining credit risk models
• Experience in developing and maintaining credit risk policies and procedures
• Experience in analyzing and monitoring credit risk exposures

What is Acquisition Portfolio Credit Risk Analyst Job Responsibilities?

• Analyze and monitor the credit risk of a portfolio of loan and investment products
• Develop and implement strategies to mitigate credit risk
• Provide guidance and advice to senior management on credit risk management
• Develop and maintain credit risk models
• Analyze credit risk trends
• Monitor credit risk exposures
• Develop and maintain credit risk policies and procedures
• Ensure compliance with all applicable regulations