- Santander US (New York, NY)
- …documentation and underwriting units. * Demonstrated practical and conceptual knowledge of credit and risk analysis. * Demonstrated knowledge in financial ... Corporate Banking Underwriting & Portfolio Management - Associate Country: United States of...at independently reaching conclusions and forms clear view of credit structure and business risk to organization.… more
- First Horizon Bank (Charlotte, NC)
- …of default (PD), loss given default (LGD), credit migration, and risk segmentation required. + Proficiency with Moody's Portfolio Studio, Moody's ... variances versus prior estimates. Explain economic impacts, changes in portfolio risk , and deviations caused by data,...degree preferred but not required. + 1-3 years in credit risk analysis, loss forecasting, capital modeling,… more
- M&T Bank (New York, NY)
- …monthly, and quarterly hedge strategy accounting for markets and within market & credit risk limits + Monitor intraday market movements and corresponding MSR ... analysis and modeling of financial market opportunities and strategies. Monitors portfolio positions and their contributions to consolidated risk assessments… more
- FM (Waltham, MA)
- …to and from managers. Key responsibilities include ownership and accountability of performance and risk of the portfolio for this role. The role will also bring ... to factor exposures, equity investment styles, fixed income analytics, credit , and duration, structuring and effective use of investment...with risk and quantitative analysis team for risk and exposure monitoring Collaborate on portfolio … more
- Bank OZK (St. Petersburg, FL)
- …for managing all aspects of a loan portfolio which can include ongoing risk management, credit monitoring, and financial analysis of a portfolio of ... and procedures as defined by loan policy. + Identify and escalate ongoing portfolio credit issues to various levels of management. + Assist with the resolution… more
- Huntington National Bank (Houston, TX)
- … for large, complex customer relationships and circumstances. Includes management of portfolio risk and adherence to all regulatory and compliance guidelines. ... problems and industry trends. Duties and Responsibilities: + Owns primary responsibility for the credit and monitoring of a leasing portfolio . + Responsible for … more
- First Horizon Bank (Scottsdale, AZ)
- …grow your career. Primary role is to provide direct support for an experienced portfolio management team responsible for determining credit worthiness of new and ... established risk criteria. **Key Responsibilities** : + Assist the Portfolio Managers with transaction setups, spreading financial statements, credit … more
- Enterprise Bank & Trust (Las Vegas, NV)
- …identifying cross-selling and referring opportunities to other Bank solution partners. Ongoing credit monitoring and risk rating management will be essential to ... a day. + Must have demonstrated skills in commercial credit underwriting and portfolio management for small-to-mid-sized...decision making skills based on a thoughtful assessment of risk . + This position requires the use of sound… more
- M&T Bank (Iselin, NJ)
- …support in the development and analysis of quantitative/econometric behavioral models used for credit risk , interest rate risk and liquidity risk ... With experienced skillset, assist in researching and developing quantitative behavioral models used for credit risk , interest rate risk and liquidity risk… more
- UMB Bank (Denver, CO)
- …Real Estate Group (REG) loans greater than $5,000,000. Will manage assigned credit portfolio , complete covenant and other monitoring requirements, and manage ... the associated credit risk . Key highlights of the role... underwriting duties for existing client relationships for assigned portfolio , which may include but are not limited to… more