Are you an experienced credit risk professional looking to take the next step in your career We are seeking a Credit Risk Manager to join a leading global advisory team. In this role you will provide strategic oversight and guidance on managing credit risk ensuring the development of robust risk management frameworks and delivering highimpact insights to clients. Key Responsibilities:
Lead and manage the credit risk assessment process for a diverse range of clients across various industries.
Develop and implement comprehensive credit risk strategies to support business objectives and minimize exposure.
Provide expert advice to senior leadership and clients on credit risk mitigation techniques and best practices.
Analyze credit portfolios identify trends and recommend strategies for improved performance and risk management.
Oversee the preparation of reports presentations and documentation for both internal and clientfacing meetings.
Collaborate with crossfunctional teams to ensure seamless integration of credit risk management strategies.
What Were Looking For:
Proven experience in credit risk management with a strong understanding of credit risk models and strategies.
Strong analytical problemsolving and leadership skills.
Excellent communication and client relationship management capabilities.
A track record of successfully managing teams and projects in a fastpaced dynamic environment.
Relevant qualifications such as a degree in finance economics or related fields; professional certifications in risk management are a plus.
Technical Requirements:
Strong proficiency in credit risk modeling including the use of quantitative tools and techniques.
Advanced knowledge of financial systems credit scoring and risk assessment tools (e.g. Moodys SAS or similar platforms).
Experience with data analysis and reporting tools (e.g. Excel SQL Power BI Tableau R or Python).
Knowledge of regulatory frameworks and industry standards related to credit risk management (e.g. Basel III IFRS 9 or equivalent).
Familiarity with stress testing scenario analysis and credit portfolio management techniques.
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