A company is looking for a Credit Risk Manager to manage and mitigate credit risk across its portfolio.Key ResponsibilitiesEvaluate creditworthiness of counterparties through financial analysis and market dataSet and manage credit limits in line with the company's risk appetiteLead cross-functional projects to enhance the credit risk framework and ensure complianceRequired QualificationsBachelor's degree in Business, Finance, Economics, Accounting, or a related field7+ years of credit risk management experience in Corporate Treasury, banking, or financial servicesIn-depth knowledge of credit risk regulatory requirements and internal risk governance frameworksProficiency in project management tools and credit risk assessment tools BONUS Master's degree or certifications (CFA, FRM, PMP) are preferred
Credit Risk Manager
A company is looking for a Credit Risk Manager to manage and mitigate credit risk across its portfolio. ...
Market Risk Manager (Fixed Income/Credit) – Major Hedge Fund - $300-350k TC
A multi-billion dollar AUM hedge fund are looking to hire market risk manager, specific to its rapidly expanding US fixed income/credit strategy. Other risk managers at the firm typically earn a $300-350k TC, with substantial growth expected as the hire works themselves towards a more senior positio...
Credit Risk Senior Manager - First Party Fraud & Credit Abuse
The Credit Risk Senior Manager (Risk Manager II), responsibilities include designing, developing, implementing, and validation of various First Party Fraud & Credit Abuse strategies. The Risk Manager II provides critical information, interpretative, and detailed analysis, and deploys critical credit...
Manager, U.S. Credit Risk, Reporting & Governance
Credit Risk, Reporting & Governance in New York, NY to contribute to the team’s efficient and effective credit risk assessment, credit adjudication and portfolio risk management. Support the production of US Credit Risk’s portfolio reports and tools and assist in the development of additional credit...
ICM Alternative Asset Credit Risk Manager - (Hedge Fund, Private Equity & IFO) - Senior Vice President
ICM’s Counterparty Credit Risk’s objective is to provide integrated “end-to-end” credit underwriting, identification, measurement, management, and monitoring for wholesale credit risk across the enterprise. Citi continues to enhance its business control and governance framework by building out Insti...
VP, Fixed Income Market Risk Manager - Credit Trading
Fixed Income market risk experience required, experience of corporate credit analysis or credit risk management is a plus. Fixed Income Market risk manager focusing on Traded Credit Products. The core of the role is to understand and highlight key changes in Market Risk for credit trading desks at J...
Credit Risk Manager - First Party Fraud & Credit Abuse
The Credit Risk Manager (Risk Manager I), is responsible for designing, developing, implementing, and validation of various First Party Fraud & Credit Abuse strategies. The Risk Manager I manages the creation, implementation and validation of various risk segmentation strategies including, but not l...
Financial Risk Management - Credit Risk, Senior Manager
Excellent training and development prospects, both through established programs and on-the-job training .An excellent team of senior colleagues, dedicated to managing and varying your workload .As a global leader in assurance, tax, transaction and consulting services, we hire and develop the most pa...
Manager, U.S. Credit Risk, Risk Reporting
Credit Risk data, leading an expansion of the existing program to ensure the quality of subject credit risk data. Work with Global Risk Reporting team to create, design, and develop credit risk portfolio reporting tools for presentation of U. Credit Risk portfolio information to Scotiabank U. Optimi...
Financial Credit Risk - Manager
As a member of the Risk & Regulatory Advisory team, you will advise financial institutions on a broad range of credit risk management topics including organization and governance; credit process optimization; risk rating model design, build and implementation; credit regulatory assessments; and Curr...