• Manager - Business Banking Regional

    City National Bank (Los Angeles, CA)
    …team towards the attainment of regional goals, including sales, client service, proper credit quality and risk management . Developing and providing strategic ... and changes in market conditions. * Partner with the Credit , Risk Management , and CRA... quality and profitability. * Monitors region's business banking portfolio for quality, risk and adherence to… more
    City National Bank (08/09/25)
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  • Underwriter IV - Commercial

    PNC (Akron, OH)
    …financial worthiness of loan/transaction parties. If relevant, performs ongoing credit risk management for assigned portfolio . Coaches and/or reviews the ... of transactions at any level of complexity or in management of a portfolio as assigned. Interacts...to ensure they adhere to and support PNC's Enterprise Risk Management Framework. **Qualifications** Successful candidates must… more
    PNC (09/09/25)
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  • Senior Associate, TMT Coverage

    HSBC (Beverly Hills, CA)
    …team members and frequent update of market intelligence + Work closely with the credit management and credit risk units to maintain a high degree of work ... + Combine client relationship management and strong risk assessment ensuring the required credit quality...this will impact and present opportunities to the client portfolio + Liaise with relationship teams across all global… more
    HSBC (09/04/25)
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  • Global Financial Institutions Group, Director

    SMBC (New York, NY)
    …with SMBC's Securitized Products and Capital Solutions Department (SPCS) to evaluate the credit risk of non-bank loan originators and servicers in connection ... adapt to changing market conditions. + In-depth knowledge of all elements of credit risk and thorough knowledge of legal/compliance considerations for non-bank… more
    SMBC (07/09/25)
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  • Internal Stakeholder Management

    SMBC (Charlotte, NC)
    …between business areas and infrastructure functions, including legal, compliance and risk management to ensure alignment and introduce comprehensive control ... external business opportunities. Analyze commercial upside, feasibility, cost implications and risk , and present findings to management . **Role Objectives:… more
    SMBC (07/03/25)
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  • Senior Relationship Manager Non-Bank and Bank…

    Comerica (Dallas, TX)
    …customer relationships, new business, and periodic risk reviews of the portfolio . Negotiate proper structure of non- credit products. Create and own assigned ... role will be responsible for new business development, onboarding, portfolio management and underwriting to support the...risk Maintain knowledge of payment systems, corporate banking, credit and non- credit products, trust, real estate,… more
    Comerica (09/09/25)
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  • Sr. Director, Agribusiness

    First National Bank of Omaha (Fort Collins, CO)
    …structuring. + Astute with pricing and negotiations in the most complex credits. ** Portfolio Management ** - Responsible for managing the largest most complex and ... be able to understand complex loan covenants and non-standard credit metrics to gauge risk . + Demonstrate...quality standards of the Bank. + Financial performance and portfolio management will include as directed; deposit… more
    First National Bank of Omaha (09/12/25)
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  • Associate Director, Treasury Management

    Scotiabank (New York, NY)
    …solutions . + Collaborate with key partners including Group Treasury, Global Risk Management , Capital Markets, Corporate & Investment Banking, Global Operations, ... Associate Director, Treasury Management Officer, Global Transaction Banking - New York...experience. + Knowledge and understanding of transaction banking products, credit and risk processes and pricing philosophy.… more
    Scotiabank (07/24/25)
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  • Mortgage Loan Underwriter

    Main Street Bank (Marlborough, MA)
    …compliance with investor, portfolio , and mortgage insurance guidelines, balancing risk management and lending opportunities. This role identifies process ... is responsible for ensuring salability of each investor closed loan, balancing risk management responsibilities with creative judgment to maximize lending… more
    Main Street Bank (09/11/25)
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  • AVP Stress Testing, Analytics

    Bank OZK (Dallas, TX)
    … on the development and ongoing management of a stress testing risk identification program focused on market, credit , and industry risks that are ... the Program such as peer and/or panel bank analyses, portfolio credit loss modeling, allowance modeling, econometric...Works with Enterprise Risk Management more
    Bank OZK (09/09/25)
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