





Tier-1 bank and metro location increase interest, but senior niche credit-risk expertise limits competition.
Requires deep financial services credit-risk and regulatory expertise, limiting cross-industry transferability.
Explicit 10+ years, mandatory credit-risk modeling and regulatory experience create strict shortlisting filters.
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Lead development, implementation, and management of credit risk and collection strategies for consumer and commercial lending portfolios.
Direct credit analytics team to incorporate internal and external data for optimizing credit risk assessment and application processing in a digital environment.
Prepare senior management presentations on portfolio performance, identify emerging risks, and ensure compliance with credit policies and regulations.
10+ years of experience in credit risk management within financial services with quantitative analysis and credit scoring model development.
Degree in Economics, Finance, Statistics, or Applied Mathematics.
Strong statistical/programming skills in SAS, SQL, Python, or STATA; experience in regulatory/compliance environments.
Work Experience Required: 10+ years in credit risk management explicitly mentioned.
Experienced leader who can manage and direct a credit analytics team and drive results with urgency.
Strategic thinker able to balance detailed analytics with big-picture portfolio risk and compliance considerations.
Skilled communicator capable of engaging technical and non-technical audiences and influencing multiple stakeholders.