- Wells Fargo (Irving, TX)
- …on opportunities for modifications, renewals, and refinancings + Participate in regular portfolio reviews to manage risk and lead problem loan resolutions, ... customers and company. They are accountable for execution of all applicable risk programs ( Credit , Market, Financial Crimes, Operational, Regulatory Compliance),… more
- Bank OZK (Dallas, TX)
- …and CRE stress testing, Credit Risk Scorecards, Current Expected Credit Losses ('CECL'), portfolio analytics, market and economic analytics, etc. May ... analytics reporting on the Bank's commercial and consumer loan portfolio using SAS, R, VBA, PL/SQL, PowerBI, and/or other...may include capital and CRE stress testing, Current Expected Credit Losses, Credit Risk Scorecards,… more
- MUFG (New York, NY)
- … credit applications and transaction memos for senior management. + Collaborate with credit , legal, risk , and compliance teams to address concerns and secure ... term sheets, and executing/syndicating Bank market products + Knowledge of credit agreement negotiation, legal documentation, and risk management. **Compensation… more
- SMBC (New York, NY)
- …Group offers a diverse range of financial services, including banking, leasing, securities, credit cards, and consumer finance. The Group has more than 130 offices ... incentive award. In addition to cash compensation, SMBC offers a competitive portfolio of benefits to its employees. **Role Description** SMBC's Global Structured… more
- Fifth Third Bank, NA (Lexington, KY)
- … request that should be pursued. + Partner with Credit and on credit requests and adhere to established Portfolio Management guidelines. + Achieve credit ... Responsible for profitable business development and monitor the quality of an existing portfolio of companies with annual gross sales of at least $10 million within… more
- Fifth Third Bank, NA (Auburn Hills, MI)
- …call reports and pipeline management. + Partner with Credit and on credit requests and adhere to established Portfolio Management guidelines. + Analyze and ... Responsible for profitable business development and monitor the quality of an existing portfolio of companies with annual gross sales of at least $10 Million within… more
- NJEDA (NJ)
- …detailed financial models to evaluate investment opportunities, perform scenario analysis, and assess credit risk . + Draft and present investment memoranda and ... across the state. This role is responsible for underwriting high-quality credit and investment opportunities that deliver attractive risk -adjusted returns… more
- FirstBank PR (GU)
- …and conduct meetings with business units to discuss loan review findings and credit risk ratings. . Prepare comprehensive results memoranda outlining key ... Analysis at a commercial bank or regulatory agency. + Strong knowledge of credit risk assessment and financial statement analysis. + Excellent credit … more
- Thrivent Financial (Minneapolis, MN)
- …in nature. In addition, the research analyst monitors existing investments, manages credit risk , makes recommendations, maintains relative weighting and relative ... assists with the overall maintenance of the Private Placement portfolio . These tasks will be performed with the oversight... recommendations. + Play an active role in managing credit risk in assigned holdings by monitoring… more
- BMO Financial Group (Winter Park, FL)
- …are complied with. **QUALIFICATIONS** **Knowledge:** + In-depth level of commercial credit / portfolio management knowledge, skills & experience + An undergraduate ... B. Managerial Leadership 10% C. Client and Relationship Management 10% D. Risk Management and Control 10% **ACCOUNTABILITIES** **A. Business Delivery and Operational… more