• ABL Asset Manager II

    Truist (Charlotte, NC)
    …not mentioned below. Specific activities may change from time to time. 1. Manage/mitigate credit risk of ABL portfolio transactions. 2. Complete on-time, ... of Asset Based Lending (ABL) transaction for the overall credit quality, collateral monitoring financial analysis, risk ...ABL loans, meet client needs and to perform ongoing portfolio monitoring within Truist risk tolerances. Actively… more
    Truist (07/18/25)
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  • Senior Securities Based Lending Wealth Underwriter

    Wells Fargo (Charlotte, NC)
    …leaders with credit risk management decisions to ensure satisfactory credit portfolio risk examinations **Required Qualifications:** + 4+ years of ... evaluate borrower financial data for moderately complex high-net-worth loans to determine credit worthiness and monitor existing portfolio to identify issues… more
    Wells Fargo (07/31/25)
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  • Correspondent Counterparty Risk Manager

    Truist (Wilson, NC)
    …equivalent training. 2. 5+ years of management experience. 3. Previous experience in a credit officer, portfolio manager, counterparty risk or related role. ... and loan-level assessments including but not limited to: financial risk , performance and quality, credit risk , operational risk , compliance, reputational… more
    Truist (07/19/25)
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  • Quantitative Risk Modeling Lead

    Huntington National Bank (Charlotte, NC)
    …Lead the creation and enhancement of complex quantitative models for credit risk , PPNR, loan origination, and portfolio management. + Data Analysis: Oversee ... Description Quantitative Risk Modeling Lead Summary:The Quantitative Risk ...the analysis of credit portfolio performance data to identify trends,… more
    Huntington National Bank (07/24/25)
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  • EFR Liquidity Risk Sr. Specialist

    Bank of America (Charlotte, NC)
    …independent risk function **Skills:** + Analytical Thinking + Credit and Risk Assessment + Critical Thinking + Portfolio Analysis + Decision Making + ... Company's capital, liquidity and interest rate risks, including price risk in the CFO managed securities portfolio . As the Chief Risk Officer (CRO) function… more
    Bank of America (07/18/25)
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  • Enterprise Financial Risk Capital Markets…

    Bank of America (Charlotte, NC)
    …markets product knowledge a plus **Skills:** + Analytical Thinking + Credit and Risk Assessment + Critical Thinking + Portfolio Analysis + Decision Making + ... Company's capital, liquidity and interest rate risks, including price risk in the CFO managed securities portfolio . As the Chief Risk Officer (CRO) function… more
    Bank of America (07/17/25)
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  • Alternative Investments Financing Lead Wealth…

    Wells Fargo (Charlotte, NC)
    …in a timely manner. This will assist with leadership decisions in credit risk management and ensure credit portfolio satisfactory risk exams ... customers and company. They are accountable for execution of all applicable risk programs ( Credit , Market, Financial Crimes, Operational, Regulatory Compliance),… more
    Wells Fargo (07/29/25)
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  • Credit Products Specialized Industries…

    Regions Bank (Charlotte, NC)
    … products for clients. + Serves as the primary contact with Credit Risk + Oversees ongoing monitoring of existing portfolio by being accountable for periodic ... transactions. The individual will work directly with teammates in Credit Products, Credit Risk , Client...the analysis of credit opportunities, underwriting of credit exposure and management of a portfolio more
    Regions Bank (07/09/25)
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  • Commercial Underwriter II

    PNC (Raleigh, NC)
    …strength and financial worthiness of loan/transaction parties. If relevant, performs ongoing credit risk management for assigned portfolio . + Contacts ... prepares and effectively recommends loan offerings based on scorecards, such as risk ratings, by analyzing credit , collateral strength and financial worthiness… more
    PNC (06/25/25)
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  • Portfolio Manager I/II-Global Renewable…

    Bank of America (Charlotte, NC)
    …and guidelines.The Portfolio Manager will provide timely responses to inquiries on the portfolio from senior credit and risk management team members. In ... the Portfolio Manager will interact with Originators, Credit Underwriting, Risk Management, Engineering Support, Modelling...agreements + Provides timely responses to inquiries on the portfolio from senior credit and risk more
    Bank of America (06/11/25)
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