Candidate registration
Employer registration
Forgot password
Sign in
Candidate registration
Sign in
Candidate registration
Sign in
Employer registration

Credit & Portfolio Risk Mgr Job Details

Vacancy has expired

Show me jobs like this one

Employer:  Citi Group
Job Ref No:  12001666
Job Title:  Credit & Portfolio Risk Mgr
Sector:  Other
Sub Sector:  Other
Risk Type:  Other
Expertise:  Risk Manager
The individual in this role is responsible for developing and implementing strategies that impact recovery effectiveness and efficiency. The individual uses sound analytics to develop and refine strategies. The position requires collaboration with cross functional teams and external vendor, and developing a strong understanding Citi's complex IT and Risk infrastructure to implement and execute flawlessly.
  • Perform detailed analysis of portfolio performance as the foundation for sound recommendations. Identify and assess trends, risks and opportunities in the portfolio.
  • Develop new treatments, refine existing customer treatments, strategiesand offers that drive incremental collections. Leverage knowledge about risk and recovery systems infrastructure and key process to drive implementation. Monitor for flawless execution.
  • Prepares presentations and update the cross-functional senior management team on key Risk Management and Collections initiatives.
  • Creates and sustains a network of strong relationships, with the Operations Recovery team and other Risk Management teams.
  • Keeps abreast of developing industry trends, regulatory environment, and Citi policy to identify legal, regulatory or reputational risks.
Specific Qualifications Include:
  • Bachelors Degree (Masters or above preferred) in engineering, statistics, mathematics, operations research or other field with a strong focus on quantitative analysis.
  • Superior problem solving ability, will to win, and the ability to clearly communicate with senior leaders -- written and verbal.
  • Proven history creating, manipulating, and analyzing large data sets using SAS, SQL, Excel pivot tables to create solutions that significantly impact business results.
  • Experience with collections, recoveries,or customer treatments that directly influence customer behaviors is highly desirable.
  • Experience with NPV modeling and pricing required.
  • Clear and concise communications including the ability to balance the use of words and tables, graphs, pictures etc. in written communications.
  • Fluent with Microsoft Office - Word, PowerPoint, Excel
  • Ability to develop deep partnerships, work cross functionally, and influence Risk Management, Operations and external constituencies.
  • The successful candidate will demonstrable analytic and project management skills, thought leadership, and must be comfortable working with ambiguity.
Employment Type:  Full Time
Region/Country:  Americas, United States
City:  Long Island City
Address: 
02/10/2012

Featured jobs

 

Featured employers

Popular Countries: United States | Hong Kong | Singapore | Canada | UK | Hungary | Asia / Pacific | India | Philippines | Australia
Popular States: California | New Jersey | New York | Colorado | Florida | Maryland | Minnesota | View Other Popular States
Popular Risk Types: Risk Jobs | Risk Management Jobs | Enterprise Jobs | Market Jobs | Operational Jobs | Regulatory/Compliance Jobs | Credit Jobs

Resumes by Job Titles: Compliance Analyst | Risk Analyst | Quantitative Analyst | Risk Manager | Risk Management Consultant | Risk Officer | View Other Resumes

 

Home    About us    Job search    Employer area    Contact us    Terms & conditions    Privacy policy    Risk Recruiter   
Copyright © JobBoardMount.com Job Board 2010 | Powered by JobMount Job Board Software