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Manager Model Risk Management Jobs in Oregon (NOW HIRING)

Think of it as a portfolio-management role with an operational focus. You'll also lead the ... Mentor two junior analysts on the analysis, the modeling, and the judgment behind the numbers.

Risk Officer

OR · On-site +1

Enterprise Risk Management Leadership * Develop, maintain, and enhance the Bank's enterprise risk management framework, including policies and procedures. * Oversee administration of the Enterprise ...

Risk & Safety Manager

Bend, OR · On-site

$80 - $100/hr

Driver's License. Risk Management Certification (CRM, CRMP) or other relevant certification ... preferred.* **Technical:** Advanced base of computer operation skills with the foundation to learn ...

Showing results 41-60

Manager Model Risk Management information

What is the difference between Manager Model Risk Management vs Model Risk Analyst?

AspectManager Model Risk ManagementModel Risk Analyst
CredentialsTypically requires advanced degrees (e.g., MBA, Master's in Finance or Risk), certifications like FRM or CFAOften requires similar credentials, such as FRM or CFA, but may have less emphasis on managerial certifications
Work EnvironmentLeads teams, manages risk frameworks, and interacts with senior managementPerforms detailed risk analysis, supports model validation, and reports findings
Employer & Industry UsageCommon in banking, asset management, and financial institutionsFound in similar environments, often as a supporting role to managers

The Manager Model Risk Management oversees the entire model risk framework, manages teams, and interacts with senior stakeholders. In contrast, the Model Risk Analyst focuses on detailed analysis, validation, and reporting of models. Both roles require similar credentials but differ in scope and responsibilities.

What are the most commonly searched types of Model Risk Management jobs in Oregon?

The most popular types of Model Risk Management jobs in Oregon are:

What are popular job titles related to Manager Model Risk Management jobs in Oregon?

For Manager Model Risk Management jobs in Oregon, the most frequently searched job titles are:

What cities in Oregon are hiring for Manager Model Risk Management jobs?

Cities in Oregon with the most Manager Model Risk Management job openings:

Portfolio Manager, Risk Capital

Upstart

OR • On-site, Remote

Full-time

Re-posted 23 days ago


Upstart rating

7.6

Company rating: 7.6 out of 10

Based on 6 frontline employees who took The Breakroom Quiz


Job description

The Team: 

Upstart's Risk Capital team manages the co-investments that Upstart engages with its funding partners on a long-term commitment basis. It's a ~$11B+ book, and the team owns how those investments perform, what they're worth, the risks they carry, and the monthly reporting that keeps our investor partners informed. As the marketplace grows, the team is building the portfolio oversight and automation to manage it at scale. 

As the Portfolio Manager, Risk Capital at Upstart, you will help manage this portfolio of investments - tracking how it performs, what it's worth, and the risks it carries - while running the hands-on, deal-by-deal process and reporting behind it each month. Think of it as a portfolio-management role with an operational focus. You'll also lead the automation roadmap that lets the program keep scaling, and mentor two junior analysts.

How you'll make an impact

  • Run the monthly process end-to-end with operational excellence - performance reporting and settlement for each investment.
  • Calculate and stand behind the amounts owed between Upstart and each investor every month, and work with our investor-facing team to settle them.
  • Monitor the portfolio's performance, value, and risk across all investments, and surface what matters to Finance and Treasury leadership.
  • Partner across Capital Markets, Accounting, Treasury, Audit, and our investor-facing team to bring on new deals and answer investors' questions on performance and settlements.
  • Lead the automation that modernizes how the team works with AI enablement.
  • Mentor two junior analysts on the analysis, the modeling, and the judgment behind the numbers.

Minimum Qualifications 

  • Bachelor's degree, or equivalent practical experience, in finance, economics, mathematics, engineering, or a related quantitative field.
  • 5+ years of experience in investment management, portfolio management, structured finance, or capital markets.
  • Demonstrated experience building and auditing cash-flow or financial models in spreadsheets.
  • Experience querying and analyzing data with SQL or a comparable query language.

Preferred Qualifications 

  • Experience with consumer loans, asset-backed or whole-loan investments, or marketplace lending (e.g., personal, auto, or home-equity loans).
  • Proficiency with Python and hands-on use of AI tools to automate analysis, modeling, or reporting.
  • Familiarity with how returns are shared across different deal structures, and with monitoring investment performance and risk.
  • Experience supporting investor relationships, settlements, or reporting for institutional investors.
  • Ability to explain complex deals and numbers in plain language for senior leaders and investors.
  • Experience leading process-improvement or automation initiatives within a finance or analytics function.

#LI-MidSenior


What Upstart employees say

Pay

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