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Credit Risk Manager Jobs in Adrian, MI (NOW HIRING)

SAP Risk Reporting Specialist

Maumee, OH · Remote

$92K/yr

Support and integrate SAP Treasury and Risk Management (market risk, credit risk, hedge accounting) and/or SAP GRC Risk Management * Establish data governance, definitions, lineage, and audit-ready ...

VP of Payments and Risk

Maumee, OH · On-site

$103K - $149K/yr

Debit Card and Credit Card portfolio, product, and service management. * Payment Services: Share ... Risk Management: BSA/AML program, deposit account compliance, vendor management, Enterprise Risk ...

VP of Payments and Risk

Maumee, OH · On-site

$103K - $149K/yr

Debit Card and Credit Card portfolio, product, and service management. * Payment Services: Share ... Risk Management: BSA/AML program, deposit account compliance, vendor management, Enterprise Risk ...

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Credit Risk Manager information

See Adrian, MI salary details

$77.6K

$142K

$214.8K

How much do credit risk manager jobs pay per year?

As of Jun 20, 2026, the average yearly pay for credit risk manager in Adrian, MI is $141,961.00, according to ZipRecruiter salary data. Most workers in this role earn between $119,700.00 and $159,200.00 per year, depending on experience, location, and employer.

How does a Credit Risk Manager typically collaborate with other departments to assess and mitigate risk?

A Credit Risk Manager frequently works with teams across the organization, such as underwriting, finance, and compliance, to assess borrower creditworthiness and ensure adherence to risk policies. Collaboration often involves developing risk models, reviewing loan portfolios, and communicating risk exposures to senior management. Working closely with these departments enables comprehensive risk assessments and the implementation of effective mitigation strategies. This cross-functional approach fosters a proactive risk culture and ensures that credit decisions align with both regulatory requirements and business objectives.

What Does a Credit Risk Manager Do?

A credit risk manager analyzes credit risk for banks and similar financial institutions. In this role, it’s your job to develop better credit risk policies and procedures to alleviate losses and maintain capital. Additional duties involve examining data, building financial models, creating performance reports, ensuring regulatory compliance, and formulating credit policy. This career requires at least a bachelor’s degree in business administration or a related field. Other important qualifications include excellent analytical, communication, and research skills. Most employers typically prefer candidates who have previous risk management experience.

What are Credit Risk Managers?

Credit Risk Managers are professionals responsible for assessing and managing the risk of financial losses that may arise from borrowers failing to repay loans or meet contractual obligations. They analyze financial data, credit reports, and market trends to determine the creditworthiness of individuals or businesses. Credit Risk Managers also develop policies and strategies to minimize potential losses and ensure compliance with regulatory standards. Their role is critical in maintaining the financial health and stability of banks, lending institutions, and other organizations involved in credit.

What are the key skills and qualifications needed to thrive as a Credit Risk Manager, and why are they important?

To thrive as a Credit Risk Manager, you need strong analytical abilities, deep knowledge of financial principles, and typically a degree in finance, accounting, or a related field. Familiarity with risk modeling software, credit scoring systems, and regulatory frameworks such as Basel III is essential. Strong communication, decision-making, and stakeholder management skills set outstanding professionals apart in this field. These skills are crucial for accurately assessing creditworthiness, minimizing financial losses, and ensuring regulatory compliance within financial institutions.

What is the difference between Credit Risk Manager vs Credit Analyst?

AspectCredit Risk ManagerCredit Analyst
CredentialsBachelor's degree, often certifications like CFA or credit risk certificationsBachelor's degree, finance or related field, sometimes certifications like CFA
Work EnvironmentOversees risk policies, manages teams, strategic planningAnalyzes credit data, assesses borrower risk, prepares reports
Industry UsageUsed in banking, financial services, lending institutionsCommon in banks, credit agencies, financial firms

The Credit Risk Manager focuses on overseeing and managing the overall credit risk policies and teams, while the Credit Analyst conducts detailed credit assessments of individual borrowers. Both roles require similar credentials and are integral to credit decision processes, but they differ in scope and responsibilities.

What job categories do people searching Credit Risk Manager jobs in Adrian, MI look for? The top searched job categories for Credit Risk Manager jobs in Adrian, MI are:
What cities near Adrian, MI are hiring for Credit Risk Manager jobs? Cities near Adrian, MI with the most Credit Risk Manager job openings:
SAP Risk Reporting Specialist

SAP Risk Reporting Specialist

Mako Professionals

Maumee, OH • Remote

$92K/yr

Other

Posted 21 days ago


Job description

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Job Title: SAP Risk Reporting Specialist

Start Date: Late Q1 2026
Duration: 6 months + extensions
Location: Remote
Type: Contract

Role Overview

Our client is seeking an experienced SAP Risk Reporting Specialist to design, build, and optimize enterprise risk reporting and analytics across their SAP landscape. This role will partner closely with Finance, Treasury, Compliance, and IT to deliver accurate, auditable, and executive-ready reporting across market risk, credit risk, liquidity, operational risk, and compliance KPIs.

The ideal consultant has strong hands-on experience with SAP S/4HANA reporting and analytics, and deep exposure to SAP Treasury and Risk Management (TRM), SAP GRC Risk Management, SAP Analytics Cloud (SAC), and/or BW/4HANA.

Key Responsibilities
  • Partner with Finance, Treasury, Risk, and Compliance stakeholders to define enterprise risk reporting requirements

  • Translate business requirements into SAP reporting solutions including dashboards, analytics, and data models

  • Design and develop risk reports using S/4HANA CDS Views, HANA Calculation Views, Fiori apps, SAP Analytics Cloud, and/or BW/4HANA

  • Support and integrate SAP Treasury and Risk Management (market risk, credit risk, hedge accounting) and/or SAP GRC Risk Management

  • Establish data governance, definitions, lineage, and audit-ready documentation for risk metrics

  • Build and maintain data pipelines from SAP source systems (FI/CO, MM, SD, TRM, GRC) and approved external market data sources

  • Ensure data quality, reconciliation, and traceability across all risk datasets

  • Support internal and external audits by providing documentation, controls evidence, and report validation

  • Lead unit testing, integration testing, and UAT efforts

  • Develop SOPs, user documentation, and provide end-user training

  • Optimize report performance and introduce automation such as scheduled refreshes, alerts, and exception reporting

Required Qualifications
  • 5+ years of experience in SAP reporting and analytics with a focus on Finance, Treasury, Risk, or GRC

  • Hands-on experience with SAP S/4HANA reporting technologies including CDS Views and Fiori

  • Experience with SAP Analytics Cloud, BW/4HANA, or SAP HANA modeling

  • Strong understanding of at least one risk domain:

    • Treasury and Market Risk

    • Credit Risk

    • Operational or Compliance Risk

  • Ability to communicate effectively with both technical and business stakeholders

Preferred Skills
  • Experience with SAP Treasury and Risk Management (TRM) configuration and reporting

  • Experience with SAP GRC Risk Management including KRIs, controls, workflows, and assessments

  • Familiarity with SAP PaPM or advanced scenario modeling tools

  • Exposure to IFRS or US GAAP topics related to risk and hedge accounting

  • Experience integrating external market data (FX, commodities, interest rates)

  • SAP certifications or professional credentials such as FRM, CFA, CPA