Risk Manager, Risk & Analytics – responsible for developing, implementing, and overseeing credit risk analysis, monitoring, and controls to ensure strong portfolio performance and alignment with risk appetite.
Responsibilities
Data Mining, Modeling, and Analysis
Identify, evaluate, and implement adjudication and collection strategy changes aligned with the risk appetite established by senior management and approved by the board.
Identify and monitor credit risk trends, communicate adherence to authorized risk tolerance parameters, and support senior management decision‑making.
Diagnose, document, and report drivers of unexpected changes to portfolio/origination composition and credit performance; communicate findings and propose recommendations to senior management.
Make recommendations to improve credit risk decisions around adjudication and collection strategies, and improve existing reports, proc...