VP Credit Risk

  • location: New York, NY
  • type: Permanent
  • salary: $170,000 - $190,000 per year
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job description

VP Credit Risk

job summary:
The incumbent will focus on credit portfolio risk management and will manage important projects. The incumbent will establish and enhance credit risk policies and procedures according to Bank's strategy and regulatory guidance;

Develop risk metrics and credit measurement methodologies according to Bank's risk appetite; monitor credit risk profile and communicate with internal and external stakeholders (i.e. auditors and regulators).

Qualifications

8+ years of experience in Credit Risk Experience

Bachelors Degree is required; Masters Degree/MBA is preferred. CPA, CFA or FRM is preferred but not required.

Credit risk policy, credit analysis, and/or credit risk reporting is required.

Experience in ALLL/CECL, PD/LGD, RWA are preferred.

Broad knowledge of accounting, capital markets, credit markets, and/or specific products including corporate loans, structured loans, leveraged loans, mergers & acquisition finance, project finance, and trade finance.

S/he should also have strong knowledge of credit risk management, portfolio management, and risk governance.

Scorecard and Risk Rating Proficiency

Strong Communication and Presentation Skills

Advanced Excel/SQL Experience

 
location: New York, New York
job type: Permanent
salary: $170,000 - 190,000 per year
work hours: 9 to 5
education: Bachelor's degree
experience: 8 Years
 
responsibilities:
The incumbent will focus on credit portfolio risk management and will manage important projects. The incumbent will establish and enhance credit risk policies and procedures according to Bank's strategy and regulatory guidance;

Develop risk metrics and credit measurement methodologies according to Bank's risk appetite; monitor credit risk profile and communicate with internal and external stakeholders (i.e. auditors and regulators).

 
qualifications:
Qualifications

8+ years of experience in Credit Risk Experience

Bachelors Degree is required; Masters Degree/MBA is preferred. CPA, CFA or FRM is preferred but not required.

Credit risk policy, credit analysis, and/or credit risk reporting is required.

Experience in ALLL/CECL, PD/LGD, RWA are preferred.

Broad knowledge of accounting, capital markets, credit markets, and/or specific products including corporate loans, structured loans, leveraged loans, mergers & acquisition finance, project finance, and trade finance.

S/he should also have strong knowledge of credit risk management, portfolio management, and risk governance.

Scorecard and Risk Rating Proficiency

Strong Communication and Presentation Skills

Advanced Excel/SQL Experience

 
skills: Excel
Equal Opportunity Employer: Race, Color, Religion, Sex, Sexual Orientation, Gender Identity, National Origin, Age, Genetic Information, Disability, Protected Veteran Status, or any other legally protected group status.

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