- BMO Financial Group (San Francisco, CA)
- …appropriate capital structure and credit solutions. + Has earned high credibility with Risk , LOB and credit product partners by being able to conduct quality ... Team will work with LOBs and specialty partners to develop options to de- risk and reduce exposures to better manage risks/returns. Facilitates profitable growth, … more
- Bank OZK (Dallas, TX)
- …forward-looking analytics for all programs, which includes capital and CRE stress testing, Credit Risk Scorecards, Current Expected Credit Losses ('CECL'), ... supports Bank initiatives, which may include capital and CRE stress testing, Current Expected Credit Losses, Credit Risk Scorecards, and/or other projects. +… more
- Bank of America (Chicago, IL)
- …present to senior leadership for decisioning. * Support asset quality forecasting and reporting efforts. * Ensure compliance with internal credit policies and ... * Minimum of 7+ years of experience in corporate workout, credit restructuring, or related risk management experience. * Strong credit analysis and… more
- Citizens (Boston, MA)
- …Portfolio Manager II position is responsible for prudent underwriting and effective credit and risk administration with particular emphasis on adherence to ... credit policy and requirements, financial analysis/modeling, risk evaluation, on-going portfolio maintenance activities, and client support for an assigned… more
- PNC (Atlanta, GA)
- …+ As defined with the business, demonstrates ability to analyze, evaluate and mitigate credit risk for more complex credit requests by utilizing knowledge ... in this position. **Preferred Skills** Client Prospecting, Client Relationship Building, Credit Risk Analysis, Customer Engagement, Financial Analysis, Financial… more
- TD Bank (Mount Laurel, NJ)
- …preferred + 10+ Years of related experience + Significant experience required in Credit Risk Management and modeling disciplines + Strong quantitative and ... and lead a large and/or highly complex, and diverse reporting function for an area of significant risk...as assumes accountability for high quality recommendations regarding the credit portfolio. + Quantifies and analyzes risk … more
- PNC (Minneapolis, MN)
- …+ As defined with the business, demonstrates ability to analyze, evaluate and mitigate credit risk for the most complex credit requests by utilizing ... origination, financial analysis, negotiation, and documentation of credit and non credit products and services. + Manages risk /return and drives quality for… more
- PNC (Chicago, IL)
- …+ As defined with the business, demonstrates ability to analyze, evaluate and mitigate credit risk for the most complex credit requests by utilizing ... Originate and Close new business * Client Management & Reporting * Contribute to the organization's growth through referrals,...analysis, negotiation and documentation of credit and non- credit products and services. + Manages risk /return… more
- Shuvel Digital (Washington, DC)
- …capital structures or blended capital financing models, including the use of credit risk guarantees, loan loss reserves, long-term subordinated debt (EQ2s); ... (CEO) SUPERVISES: Director of Finance and Financial Planning & Reporting Manager DUTIES & RESPONSIBILITIES + People Management +...+ Experience making credit risk ...+ Experience making credit risk decisions and sitting on internal … more
- Blue Foundry Bank (Parsippany-Troy Hills, NJ)
- …Portfolio Management Leader is directly involved in managing portfolios, assessing ongoing credit risk , and developing action plans for distressed accounts. This ... delivery of deliverables. + Work with Commercial Banking Operations to ensure accurate reporting . + Work with the Credit Department on specific portfolio loans,… more