Dieses Jobangebot ist archiviert und steht nicht mehr zur Verfügung.
Vakante Jobangebote finden Sie unter Projekte.
Vakante Jobangebote finden Sie unter Projekte.
Portfolio Risk Manager
Eingestellt von Churchill Frank
Gesuchte Skills: Network
Projektbeschreibung
Working for a leading retail bank in Dublin, long term contract paying £700-£800 per day
Main Responsibilities:
*Independently and collaboratively develop, lead and execute credit risk strategies in partnership with the business to maximise risk adjusted returns. Remove obstacles to successful deployment
*Initiate and implement credit enhancements, including validation and testing of credit risk strategies across the portfolio life cycle, spanning: products; customers; operations; distribution; the network, internal risk and external stakeholders
*Initiate and conduct investigative analytics as the basis for independently developing custom commercial strategies, policies and processes that positively impact risk adjusted returns, process effectiveness and efficiency
*Ensure technical requirements for risk strategies and implementation are clear, with defined measures of success, follow industry best practice and are understood by all stakeholders.
*Provide a high degree of technical competency to deliver sustained income benefits
*Utilise and recommend developments to the credit risk management infrastructure, systems, tools and technology of the group to optimise effectiveness and efficiency of resources used
*Review, challenge and change established structures, policies and processes affecting credit risk portfolio performance, reducing cost, improving effectiveness and enhancing risk adjusted returns
*Facilitate the development of data and MI to enhance decision making and transparency of decisions
*Act as the subject matter expert, produce analysis, forecasting and interpretation, facilitating credit risks contribution to portfolio financial planning to ensure plans are robust and achievable.
*Escalate and influence senior management where plans fall short or risks are not properly addressed
*Manage the deployment and development of a specialist team of Risk Portfolio Managers and specialist Analysts
NECESSARY EXPERIENCE:
*Degree educated
*5 years as a senior risk manager with proven ability to operate and engage cross functionally and as an effective member of the senior risk leadership team.
*Demonstrable in-depth credit risk experience of personal, mortgage or SME (commercial) portfolios, with broad experience across a range of risk disciplines, from credit management to technical model development, strategy development and systems deployment.
*Must be able to demonstrate a practical knowledge as well as developed management and leadership skills.
*MICM or equivalent
*Technical competencies: SAS or SLQ; strategy management software; scorecard development; knowledge of capital modelling; provision models; P Project management experience - 6 Sigma/Prince 2.
Main Responsibilities:
*Independently and collaboratively develop, lead and execute credit risk strategies in partnership with the business to maximise risk adjusted returns. Remove obstacles to successful deployment
*Initiate and implement credit enhancements, including validation and testing of credit risk strategies across the portfolio life cycle, spanning: products; customers; operations; distribution; the network, internal risk and external stakeholders
*Initiate and conduct investigative analytics as the basis for independently developing custom commercial strategies, policies and processes that positively impact risk adjusted returns, process effectiveness and efficiency
*Ensure technical requirements for risk strategies and implementation are clear, with defined measures of success, follow industry best practice and are understood by all stakeholders.
*Provide a high degree of technical competency to deliver sustained income benefits
*Utilise and recommend developments to the credit risk management infrastructure, systems, tools and technology of the group to optimise effectiveness and efficiency of resources used
*Review, challenge and change established structures, policies and processes affecting credit risk portfolio performance, reducing cost, improving effectiveness and enhancing risk adjusted returns
*Facilitate the development of data and MI to enhance decision making and transparency of decisions
*Act as the subject matter expert, produce analysis, forecasting and interpretation, facilitating credit risks contribution to portfolio financial planning to ensure plans are robust and achievable.
*Escalate and influence senior management where plans fall short or risks are not properly addressed
*Manage the deployment and development of a specialist team of Risk Portfolio Managers and specialist Analysts
NECESSARY EXPERIENCE:
*Degree educated
*5 years as a senior risk manager with proven ability to operate and engage cross functionally and as an effective member of the senior risk leadership team.
*Demonstrable in-depth credit risk experience of personal, mortgage or SME (commercial) portfolios, with broad experience across a range of risk disciplines, from credit management to technical model development, strategy development and systems deployment.
*Must be able to demonstrate a practical knowledge as well as developed management and leadership skills.
*MICM or equivalent
*Technical competencies: SAS or SLQ; strategy management software; scorecard development; knowledge of capital modelling; provision models; P Project management experience - 6 Sigma/Prince 2.
Projektdetails
Geforderte Qualifikationen
-
Kategorie:
IT Entwicklung