





Tier-1 bank and metro location with a specialized senior role yields moderate applicant competition.
Requires deep mortgage credit risk and regulatory expertise, limiting cross-industry transferability.
Explicit 10-13 years, domain-specific credit risk experience and SAS requirement makes filters highly stringent.
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Lead credit reviews, approvals, and monitoring for the mortgage portfolio, identifying credit migration and managing portfolio risk exposure globally.
Develop and improve credit risk policies and workflows, using data analysis including SAS on UNIX and coordinating with Risk Management.
Prepare risk presentations for senior management and ensure compliance with laws, regulations, and internal policies for portfolio credit risk management.
10-13 years of relevant experience in credit or risk management.
Bachelor's degree or equivalent experience.
Must have knowledge of commercial risk analytics and credit risk principles.
Flexible to work 1 PM to 10 PM shift.
Experienced in portfolio credit risk management with the ability to integrate subject matter expertise and industry knowledge into risk policies.
Capable of applying data analytics and statistical tools (e.g. SAS) to support credit decision making and risk monitoring.
Able to manage multiple projects in a fast-paced environment and communicate risk findings effectively to senior stakeholders.