- BMO Financial Group (Chicago, IL)
- …in data analytics for CCAR, proficient in big data, Python, PySpark, SQL, and credit risk concepts. This role involves supporting CCAR reporting by aggregating ... for adverse outcomes, capital modelling, assess capital and liquidity, recovery actions, portfolio and risk management strategies and tactics. + Acts as… more
- Berkshire Bank (Glastonbury, CT)
- …working relationship with commercial lending group to ensure ongoing credit quality of portfolio and interfacing with Senior Credit Officer and Senior ... relationships. Continuously evaluates operational and financial performance to maintain portfolio quality and risk rating accuracy. Interacts...for new business requests that would be presented to senior lender and senior credit … more
- Citigroup (Tampa, FL)
- The Senior Audit Manager is a senior ...and model development/validation processes in areas such as market risk , credit risk , loss forecasting, ... and recommend interventions where needed, proposing creative and pragmatic solutions to risk and control issues + Partner with Directors and Managing Directors to… more
- City National Bank (Los Angeles, CA)
- … Portfolio Management: Owns and manages an assigned credit portfolio , ensuring alignment with organizational goals and risk management practices, ... underwriting memorandums and approval documents for presentation to Credit Risk . * Performance Monitoring: Performs portfolio management activities to… more
- Wells Fargo (New York, NY)
- …Managers, Industry Coverage and Risk Management to oversee execution of credit related functions and portfolio support for insurance and insurance services ... loan portfolio and insurance subsector trends to senior leadership, risk management, and coverage partners....partners to support all client coverage needs related to credit risk products. + Lead and contribute… more
- Charles Schwab (Chicago, IL)
- …timely basis; ensure the portfolio management process is aligned with expectations of credit risks and credit risk tolerances; and evaluate the results ... Research will be responsible for leading Schwab Asset Management's (SAM) credit risk management function through identifying, modeling, measuring, and… more
- KeyBank (Cleveland, OH)
- …existing exposure. Additionally, the Associate, Portfolio Management is responsible for ongoing credit monitoring and risk rating for a portfolio of ... bank products. This individual should demonstrate emerging leadership skills within credit underwriting and portfolio management; they may work somewhat… more
- Berkshire Bank (Worcester, MA)
- …borrowing relationships. Continuously evaluates operational and financial performance to maintain portfolio quality and risk rating accuracy. Interacts with ... relationship with Credit Partners to ensure ongoing credit quality of portfolio . + Preparation of...+ Demonstrated solid working relationships with internal partners including Credit , Documentation & Loan Specialists, Risk Management,… more
- Berkshire Bank (Worcester, MA)
- …Middle Market. Continuously evaluates operational and financial performance to maintain portfolio quality and risk rating accuracy. Interacts with prospects ... the bank. + Solid working relationship with Credit Partners to ensure ongoing credit quality of portfolio and interfacing with credit for Annual Reviews… more
- Truist (Charlotte, NC)
- …writing of credit product approval documents and presentations. + Supports senior teammates in management of the portfolio with responsibilities including ... dialogue, including product partner opportunity identification where appropriate. Actively manages portfolio risk through risk rating integrity, client… more