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VP Credit Risk Portfolio Manager
Primary Responsibilities :
- Develop and maintain credit loss and financial risk forecasting models.
- Incorporate credit loss models to create a credit rating system based on varying risk levels for loss or default.
- Evaluate loans and positions against established risk criteria.
- Calculate expected losses and evaluate them across various elements.
- Recommend risk reduction strategies, including syndication, sale, hedging, etc.
- Stress test models against different scenarios to evaluate loss charges and inform capital adequacy testing.
- Adjust models for discrepancies between actual and forecasted outcomes.
- Suggest changes to underwriting and credit evaluation policies and procedures.
Experience
- 7 years experience in a wholesale credit risk role
- Worked on deals in in the region of $50mn - $500mn
- Portfolio Management / Underwriting experience
VP Credit Risk Portfolio Manager
VP Credit Risk Portfolio Manager. Incorporate credit loss models to create a credit rating system based on varying risk levels for loss or default. Develop and maintain credit loss and financial risk forecasting models. Evaluate loans and positions against established risk criteria. ...
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