Credit Portfolio Manager
Intelliswift - chicago, IL
Apply NowJob Description
Job ID: Job Title: Credit Portfolio Manager Location: Chicago, IL 60606 (hybrid 2 flexible days a week in office) Duration: 6 months Contract Type: W2 only Pay Rate: $62.06/Hour Role Mandate: Supports the execution of accurate and efficient reporting solutions for risk, regulatory and management information to internal and external stakeholders including regulatory bodies. Supports an efficient and effective risk management function which uses common information sources and practices, reduces ongoing costs, increases service level performance and minimizes risk. Role Responsibilities Include (but are not limited to): Aggregate raw data extracted from various external and internal sources Produce internal reporting, various risk metric calculations, and external regulatory reporting Use the raw data, reporting, and calculations to provide meaningful insights to the current business state, and recommendations for how to move forward. Leads the development and maintenance of the risk reporting framework. Represents the risk reporting function during internal/external regulatory audits and/or examinations. Ensures alignment between stakeholders. Coordinates the management of databases; ensures alignment and integration of data in adherence with data governance standards. Builds change management plans of varying scope and type; leads or participates in a variety of change management activities including readiness assessments, planning, stakeholder management, execution, evaluation and sustainment of initiatives. May provide specialized support for other internal and external regulatory requirements. Provides input into the planning and implementation of ongoing operational programs in support risk reporting management framework. Leads/participates in the design, implementation and management of core business/group processes. Executes work to deliver timely, accurate, and efficient service for scheduled reporting production processes. Supports the maintenance, monitoring, and measurement of key risk indicators to internal & external stakeholders. Analyses data and information to provide risk-related insights and recommendations for the assigned portfolio e.g. capital at risk modeling, risk/return assessments, etc. Supports the interpretation of internal and external policies and regulatory requirements relevant to the analytics and reporting mandate e.g. regulatory reporting. Works with various data owners to discover and select available data sources from internal sources and external vendors (e.g. lending system, payment system, external credit rating system) to fulfill analytical needs. Ensures strong governance and effective controls across risk reporting activities and information in accordance with enterprise standards. Analyzes data and highlights significant information including variances, trends, opportunities and exposures; escalates as required. Provides information and supports the process for internal and external audits. Gathers and formats data into regular and ad-hoc reports, and dashboards. Supports development and execution of strategic initiatives in collaboration with internal and external stakeholders. Must-Have Skills: **not looking for candidates with underwriting or credit call center experience** Experience and familiarity with credit card or other consumer lending credit risk performance drivers, metrics, data such as credit strategy development or model development functions. Experience with the following software and reporting packages: SAS (Enterprise Guide 8.3, Unix, Enterprise Miner) - Must have DBVisualizer - Or equivalent SQL programming experience - Must have WinSCP Microsoft Office including advanced or expert level in Excel and PowerPoint Typically between 5 - 7 years of relevant experience Post-secondary degree in related quantitative field of study or an equivalent combination of education and experience [mathematics, computer science, economics, business] In-depth knowledge of risk management metrics, KPIs and KRIs. In-depth knowledge of industry trends and regulatory requirements for risk reporting. In-depth knowledge of risk management theory, processes and portfolio management reporting techniques. In-depth knowledge of reporting & analytics concepts and applications. In-depth knowledge of risk systems technology. Nice to Have Skills: PowerBI or other data visualization and reporting tools
Created: 2024-11-05