The Portfolio Risk Management Director will lead a high-impact team responsible for counterparty risk analytics, governance, and oversight across mortgage insurers, reinsurers, seller/servicers ...
The Portfolio Risk Management Director will lead a high-impact team responsible for counterparty risk analytics, governance, and oversight across mortgage insurers, reinsurers, seller/servicers ...
The Portfolio Risk Management Director will lead a high-impact team responsible for counterparty risk analytics, governance, and oversight across mortgage insurers, reinsurers, seller/servicers ...
The Portfolio Risk Management Director will lead a high-impact team responsible for counterparty risk analytics, governance, and oversight across mortgage insurers, reinsurers, seller/servicers ...
The Portfolio Risk Management Director will lead a high-impact team responsible for counterparty risk analytics, governance, and oversight across mortgage insurers, reinsurers, seller/servicers ...
The Portfolio Risk Management Director will lead a high-impact team responsible for counterparty risk analytics, governance, and oversight across mortgage insurers, reinsurers, seller/servicers ...
Portfolio Risk Manager
Manhattan, NY · On-site
$160K - $190K/yr
Portfolio Risk Manager Corporate Title : Vice President Department : Risk Location: New York The ... Wealth Management, Investment Management, and Wholesale (Global Markets and Investment Banking)
Portfolio Risk Manager
Manhattan, NY · On-site
$160K - $190K/yr
Portfolio Risk Manager Corporate Title : Vice President Department : Risk Location: New York The ... Wealth Management, Investment Management, and Wholesale (Global Markets and Investment Banking)
Portfolio Risk Manager
Manhattan, NY · On-site
$160K - $190K/yr
Portfolio Risk Manager Corporate Title : Vice President Department : Risk Location: New York The ... Wealth Management, Investment Management, and Wholesale (Global Markets and Investment Banking)
Portfolio Risk Manager
Manhattan, NY · On-site
$160K - $190K/yr
Portfolio Risk Manager Corporate Title : Vice President Department : Risk Location: New York The ... Wealth Management, Investment Management, and Wholesale (Global Markets and Investment Banking)
Portfolio Risk Analyst
Manhattan, NY · Hybrid
$145K - $185K/yr
These roles involve collaboration with portfolio managers, investment strategists, and senior leadership to ensure effective risk management frameworks are applied and adhered to across portfolios.
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Portfolio Risk Analyst
Manhattan, NY · Hybrid
$145K - $185K/yr
These roles involve collaboration with portfolio managers, investment strategists, and senior leadership to ensure effective risk management frameworks are applied and adhered to across portfolios.
New
Portfolio Risk Analyst
$140K - $185K/yr
This role involves collaboration with portfolio managers, risk managers, operations teams, and senior leadership to identify, measure, and mitigate potential risks across the portfolio. Key ...
New
Quick apply
Portfolio Risk Analyst
$140K - $185K/yr
This role involves collaboration with portfolio managers, risk managers, operations teams, and senior leadership to identify, measure, and mitigate potential risks across the portfolio. Key ...
New
Portfolio Risk Manager
Manhattan, NY · On-site
$160K - $190K/yr
Summarize portfolio risk findings and deliver well-articulated, impactful presentations to senior management and risk committees. * Foster collaboration across teams spanning risk, front office ...
Portfolio Risk Manager
Manhattan, NY · On-site
$160K - $190K/yr
Summarize portfolio risk findings and deliver well-articulated, impactful presentations to senior management and risk committees. * Foster collaboration across teams spanning risk, front office ...
Embark on a transformative journey as an AVP-Portfolio Planning & Execution. At Barclays, our ... Take ownership for managing risk and strengthening controls in relation to the work done. * Perform ...
Embark on a transformative journey as an AVP-Portfolio Planning & Execution. At Barclays, our ... Take ownership for managing risk and strengthening controls in relation to the work done. * Perform ...
Take ownership for managing risk and strengthening controls in relation to the work done. Perform ... Embark on a transformative journey as an AVP-Portfolio Planning & Execution At Barclays, our vision ...
Take ownership for managing risk and strengthening controls in relation to the work done. Perform ... Embark on a transformative journey as an AVP-Portfolio Planning & Execution At Barclays, our vision ...
Investment Portfolio Risk Manager
Manhattan, NY · Hybrid
$145K - $185K/yr
It is provided to help job seekers understand the responsibilities and qualifications typically associated with roles that combine portfolio management, investment analysis, and risk oversight.
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Investment Portfolio Risk Manager
Manhattan, NY · Hybrid
$145K - $185K/yr
It is provided to help job seekers understand the responsibilities and qualifications typically associated with roles that combine portfolio management, investment analysis, and risk oversight.
New
Portfolio Risk & Controls Analyst
Manhattan, NY · Hybrid
$140K - $185K/yr
Portfolio Risk & Controls Analyst Career Launch AI Talent Network Location: New York, NY (Hybrid ... Career Launch AI provides tools and support to help candidates reach hiring managers, prepare for ...
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Portfolio Risk & Controls Analyst
Manhattan, NY · Hybrid
$140K - $185K/yr
Portfolio Risk & Controls Analyst Career Launch AI Talent Network Location: New York, NY (Hybrid ... Career Launch AI provides tools and support to help candidates reach hiring managers, prepare for ...
New
ProSidian Seeks a Portfolio Risk Management Lead, Fixed Income to manage an engagement for The Western Area Power Administration (Western) - a Federal agency under the U.S. Department of Energy (DOE ...
ProSidian Seeks a Portfolio Risk Management Lead, Fixed Income to manage an engagement for The Western Area Power Administration (Western) - a Federal agency under the U.S. Department of Energy (DOE ...
Portfolio Manager
San Jose, CA · On-site
$90K - $140K/yr
... management of portfolio of credits with varying complexity. In addition to managing credit risk, the AVP Portfolio Manager will focus on excellent customer service to retain clients and find ways to ...
Portfolio Manager
San Jose, CA · On-site
$90K - $140K/yr
... management of portfolio of credits with varying complexity. In addition to managing credit risk, the AVP Portfolio Manager will focus on excellent customer service to retain clients and find ways to ...
Portfolio Manager
San Jose, CA · On-site +1
$90K - $140K/yr
... management of portfolio of credits with varying complexity. In addition to managing credit risk, the AVP Portfolio Manager will focus on excellent customer service to retain clients and find ways to ...
Portfolio Manager
San Jose, CA · On-site +1
$90K - $140K/yr
... management of portfolio of credits with varying complexity. In addition to managing credit risk, the AVP Portfolio Manager will focus on excellent customer service to retain clients and find ways to ...
Portfolio Manager
San Jose, CA · On-site
$90K - $140K/yr
... management of portfolio of credits with varying complexity. In addition to managing credit risk, the AVP Portfolio Manager will focus on excellent customer service to retain clients and find ways to ...
Portfolio Manager
San Jose, CA · On-site
$90K - $140K/yr
... management of portfolio of credits with varying complexity. In addition to managing credit risk, the AVP Portfolio Manager will focus on excellent customer service to retain clients and find ways to ...
Portfolio Manager
San Jose, CA · On-site
$90K - $140K/yr
... management of portfolio of credits with varying complexity. In addition to managing credit risk, the AVP Portfolio Manager will focus on excellent customer service to retain clients and find ways to ...
Quick apply
Portfolio Manager
San Jose, CA · On-site
$90K - $140K/yr
... management of portfolio of credits with varying complexity. In addition to managing credit risk, the AVP Portfolio Manager will focus on excellent customer service to retain clients and find ways to ...
Provides independent oversight of credit card portfolios through ongoing monitoring of portfolio performance, risk trends, forecast outcomes, and key risk indicators. Identifies emerging risks ...
Provides independent oversight of credit card portfolios through ongoing monitoring of portfolio performance, risk trends, forecast outcomes, and key risk indicators. Identifies emerging risks ...
Portfolio Risk Manager I
Boise, ID · On-site
The Portfolio Risk Manager makes data driven decisions to monitor the overall health of the ... Identify opportunities to automate and streamline risk management processes, reducing manual work ...
Portfolio Risk Manager I
Boise, ID · On-site
The Portfolio Risk Manager makes data driven decisions to monitor the overall health of the ... Identify opportunities to automate and streamline risk management processes, reducing manual work ...
Position Summary The AVP, Market Risk and ALM and Hedging role is part of the growing Market Risk ... related to portfolio risk management. * Promote a collaborative, accountable, and ...
Position Summary The AVP, Market Risk and ALM and Hedging role is part of the growing Market Risk ... related to portfolio risk management. * Promote a collaborative, accountable, and ...
Avp Portfolio Risk Management information
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$19.29 is the 25th percentile. Wages below this are outliers.
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28% of jobs
The median wage is $23.08 / hr.
$19.84 - $25.26
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12% of jobs
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0% of jobs
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0% of jobs
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8% of jobs
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2% of jobs
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Portfolio Risk Management Director
Mclean, VA • On-site
Other
Posted 8 days ago
Freddie Mac rating
9.2
Based on 5 frontline employees who took The Breakroom Quiz
Job description
At Freddie Mac, our mission of Making Home Possible is what motivates us, and it’s at the core of everything we do. Since our charter in 1970, we have made home possible for more than 90 million families across the country. Continue your career journey where your work contributes to a greater purpose.
Position Overview:Are you an analytical and forward-looking risk leader who wants to help strengthen the housing finance system? In Freddie Mac’s Enterprise Risk Division, the Financial Risk – Counterparty Risk department provides independent oversight of the institutions and business partners that support our Single-Family and Multifamily mortgage portfolios. Our work helps Freddie Mac identify emerging risks, protect the company’s financial resilience, and support affordable and sustainable housing for families and communities nationwide.
The Portfolio Risk Management Director will lead a high-impact team responsible for counterparty risk analytics, governance, and oversight across mortgage insurers, reinsurers, seller/servicers, banks, and other key counterparties. This role combines financial analysis, portfolio surveillance, market intelligence, and transaction-driven risk assessment to influence risk appetite, approvals, escalations, and senior management decision-making.
Our Impact:Our team plays a critical role in helping Freddie Mac understand, anticipate, and manage counterparty risk across a dynamic mortgage market. By bringing together deep financial analysis, portfolio analytics, market monitoring, and independent risk judgment, we provide timely insights that inform business decisions, strengthen governance, and support the company’s mission. This is a role with opportunities to shape risk frameworks, influence cross-divisional outcomes, and engage with senior leaders on issues that matter to Freddie Mac’s safety, soundness, and public mission.
Your Impact:Lead and mentor analysts and provide guidance, setting direction, and ensuring key risk analytics and oversight deliverables are completed effectively. The role requires working effectively with senior management and cross-divisional partners, using influence and sound judgment to drive alignment and deliver results.
Counterparty Risk Analytics & Oversight-
Assessment of counterparty financial strength, including liquidity, earnings, funding profile, capital adequacy, profitability, risk indicators, and qualitative risk factors, and evaluate potential impacts to counterparty credit risk.
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Conduct attribution and trend analysis to explain changes in counterparty exposures, risk profiles, and concentrations over time.
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Perform independent risk assessments for transaction-driven counterparty matters, including mergers and acquisitions, significant initiatives, and Freddie Mac’s new or expanded counterparty activities. Support counterparty onboarding and approval workstreams, including coordination across stakeholders and ensuring required artifacts are complete for decisioning.
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Review and provide risk assessments for methodologies and frameworks used for counterparty risk management such as counterparty exposures or counterparty ratings.
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Design and maintain ongoing counterparty monitoring frameworks, including financial metrics, performance indicators, and early‑warning signals for SF/MF counterparties.
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Identify, assess, and clearly articulate emerging counterparty risks, including deterioration in financial condition, structural vulnerabilities, or adverse market developments.
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Provide timely, decision-relevant risk insights to support proactive risk management actions. Escalate material counterparty concerns, mergers and acquisitions, limit breaches, or governance issues to senior risk leadership, and support CRO- and committee-level visibility as needed.
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Partner closely with Single‑Family, Multifamily and Counterparty Credit Risk teams to ensure alignment of data, analytics, and risk messaging.
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Work closely with other Enterprise Risk teams, including Credit, Model Risk, Compliance, and Third-Party Risk Management, to support end‑to‑end risk governance across credit, capital, model, and regulatory dimensions.
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Promote strong analytical judgment, sound risk reasoning, and clear executive‑level communication.
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Drive continuous improvement in counterparty risk frameworks, policy standards, assessment documentation, and controls.
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12- 15 + years of experience in counterparty credit risk and mortgage credit risk, with demonstrated expertise in counterparty financial analysis (capital
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adequacy, liquidity, earnings sustainability, funding structures, and stress performance) across financial institutions and non-bank counterparties.
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2- 4 + years of people management experience
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Strong business and risk knowledge of mortgage insurers (MIs), reinsurers (RIs), and/or seller/servicers, including operating models, regulatory frameworks, capital regimes, and performance drivers across market cycles (preferred).
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Quantitative degree preferred in finance, economics, mathematics, statistics, or a related field; master’s degree or professional certifications (e.g., FRM, CFA) a plus.
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Strong decision-making skills, with the ability to work effectively under pressure to resolve critical issues.
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Excellent verbal and written communication skills, with the ability to communicate complex information to a variety of audiences (including senior management and regulators) in a clear and actionable manner.
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Bring independent risk judgment and a strong analytical mindset to complex counterparty issues, balancing quantitative evidence, business context, and sound risk reasoning.
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Lead with influence, clarity, and accountability—setting direction for the team while building trusted relationships with senior leaders and cross‑divisional partners.
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Translate complex financial, portfolio, and market developments into concise, decision‑ready insights that support timely escalation and effective risk management.
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Operate with curiosity and a continuous‑improvement mindset, strengthening analytics, governance, documentation, and surveillance practices as the counterparty risk landscape evolves.
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Develop and empower talent by coaching analysts, raising the quality of risk assessments, and fostering a culture of collaboration, ownership, and thoughtful challenge.
We consider all applicants for all positions without regard to gender, race, color, religion, national origin, age, marital status, veteran status, sexual orientation, gender identity/expression, physical and mental disability, pregnancy, ethnicity, genetic information or any other protected categories under applicable federal, state or local laws. We will ensure that individuals are provided reasonable accommodation to participate in the job application or interview process, to perform essential job functions, and to receive other benefits and privileges of employment. Please contact us to request accommodation.
Freddie Mac offers a comprehensive total rewards package to include competitive compensation and market-leading benefit programs. Information on these benefit programs is available on our Careers site.
This position has an annualized market-based salary range of $180,000 - $270,000 and is eligible to participate in the annual incentive program. The final salary offered will generally fall within this range and is dependent on various factors including but not limited to the responsibilities of the position, experience, skill set, internal pay equity and other relevant qualifications of the applicant.
About Freddie Mac
Sourced by ZipRecruiter
Today, Freddie Mac makes home possible for one in four home borrowers and is one of the largest sources of financing for multifamily housing. Join our smart, creative and dedicated team and you'll do important work for the housing finance system and make a difference in the lives of others.
Industry
Finance and insurance
Company size
5,001 - 10,000 Employees
Headquarters location
McLean, VA, US
Year founded
1970