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VP, Credit Portfolio Manager

New York City, NY, USA | Citi Private Bank

  • Industry:
    Financial Services
  • Position Type:
  • Functions:
    Financial Services Professional
    Risk Management
  • Experience:
    7-10 years
Job Description:
91 people have viewed this job

Work on projects related Pre Settlement Exposure (PSE) and Stress Testing calculation across ICG Risk in partnership with Credit Officers, Technology and other key stakeholders

Responsible for remediating technology projects associated with regulatory deliverables.

Work with technology to develop plans for consistent usage of data across various risk calculations (PSE, RWA, Stress Losses, VaR and others)

Compare usage of reference data and services across various risk calculations for consistency and improvements in risk calculations

Partner with key members of Risk and Technology to develop a cohesive strategy

Developmental Value:

Develop deep understanding of all market products across ETDs, OTCs and SFTs

Develop deep understanding pf Counterparty Credit Risk

Develop a strong network with Risk Management and Technology leaders across the globe

Constructively impact efficiency and productivity of various ICG Risk units

Gain global view of the Risk Management Policies

Deepen understanding of day to day Risk Management

Qualifications:

4+ year experience in either Risk Management, Technology or Program Management

Good understanding of Counterparty Credit Risk

Broad understanding of current regulatory environment as applicable to Counterparty Credit Risk

Broad understanding of various Markets and Securities Services products

Superior Communication and Influencing skills

Analytical individual with ability to model data and draw conclusions

Ability to manage multiple competing priorities with demonstrated experience in executing against tight deadlines and managing issue escalation

High level of personal integrity, proven dedication to excellence, leadership qualities and a flexible, creative, innovative personality

Other Qualifications:

Bachelor’s/Master’s Degree, with distinguished academic achievement

6-10 years of experience in credit card risk management or equivalent training and experience preferably in the financial services industry

Proven ability to apply credit and risk principles toward business goals

Demonstrated ability to synthesize and prioritize

Proven ability to remain organized in a fast-paced environment

Demonstrated interpersonal, organizational and analytic skills

Education:

Bachelor's degree/University degree or equivalent experience

Master's degree preferred


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