





Tier-1 employer plus metro location and mid-level role, but niche risk specialization limits applicants.
Role requires specific banking credit and risk experience, making skills less transferable across industries.
Explicit 2+ years requirement plus preferred finance certifications increases filtering but not extremely strict.
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Evaluate quality of assets and credit administration practices to identify process improvement opportunities within Risk Asset Review Examination.
Analyze risk rating integrity and portfolio quality through research, evaluation, and independent judgment, including verifying loan documentation completeness.
Collaborate with peers and managers to resolve issues and achieve examination goals under leadership direction.
Minimum 2 years of Risk Asset Review Examination experience or equivalent through work experience, training, military experience, or education.
Not explicitly mentioned in the JD: mandatory degrees or certifications.
Not explicitly mentioned in the JD: strict location or onsite requirements.
Not explicitly mentioned in the JD: notice period or regulatory constraints.
Experienced in risk asset review with ability to exercise independent judgment on credit risk analysis and loan documentation.
Comfortable operating with guided direction while collaborating cross-functionally to address examination issues.
Possesses or is pursuing relevant finance or risk certifications such as Chartered Accountant, MBA (Finance), FRM, or CFA to align with desired qualification signals.