... portfolio. * Participate in, and assist with, internal audits, regulatory reviews, and projects. Reporting Relationships Primary Manager: MD, Head of Non-Investment Grade Credit Risk / Global Risk ...
... portfolio. * Participate in, and assist with, internal audits, regulatory reviews, and projects. Reporting Relationships Primary Manager: MD, Head of Non-Investment Grade Credit Risk / Global Risk ...
Purpose The Manager, Global 2nd Line Third Party Risk Management (TPRM) contributes to the overall ... across assigned portfolios. The role is primarily responsible for executing TPRM program ...
Purpose The Manager, Global 2nd Line Third Party Risk Management (TPRM) contributes to the overall ... across assigned portfolios. The role is primarily responsible for executing TPRM program ...
Purpose The Manager, Global 2nd Line Third Party Risk Management (TPRM) contributes to the overall ... Establishes and nurtures relationships with partners and supports portfolio-level oversight ...
Purpose The Manager, Global 2nd Line Third Party Risk Management (TPRM) contributes to the overall ... Establishes and nurtures relationships with partners and supports portfolio-level oversight ...
Credit Risk Group Manager
Irving, TX · On-site
$188K/yr
... the portfolio of Banking and International (B&I) clients under ICM. Ensure consistency of ... Risk Management Job Family: Credit Risk Job Family Group: Job Family: Time Type: Full time Primary ...
Credit Risk Group Manager
Irving, TX · On-site
$188K/yr
... the portfolio of Banking and International (B&I) clients under ICM. Ensure consistency of ... Risk Management Job Family: Credit Risk Job Family Group: Job Family: Time Type: Full time Primary ...
MF Risk - Asset Management - Lead Associate
$17.50 - $21/hr
Lead analysis of portfolio performance, trends, and operational metrics and communicate insights to key stakeholders. * Recommend enhancements to business processes, reporting capabilities, and ...
MF Risk - Asset Management - Lead Associate
$17.50 - $21/hr
Lead analysis of portfolio performance, trends, and operational metrics and communicate insights to key stakeholders. * Recommend enhancements to business processes, reporting capabilities, and ...
Senior Manager, U.S. Leveraged Finance Credit Risk
Dallas, TX · On-site
$117.40 - $224.70/hr
Assess proposed leveraged finance transactions and monitor the overall underwriting portfolio and the portfolio of held loans; and * Report to Director, US Non-Investment Grade Credit Risk Management ...
Senior Manager, U.S. Leveraged Finance Credit Risk
Dallas, TX · On-site
$117.40 - $224.70/hr
Assess proposed leveraged finance transactions and monitor the overall underwriting portfolio and the portfolio of held loans; and * Report to Director, US Non-Investment Grade Credit Risk Management ...
MF Risk - Asset Management - Lead Associate
Plano, TX · On-site
$17.50 - $21/hr
Lead analysis of portfolio performance, trends, and operational metrics and communicate insights to key stakeholders. * Recommend enhancements to business processes, reporting capabilities, and ...
MF Risk - Asset Management - Lead Associate
Plano, TX · On-site
$17.50 - $21/hr
Lead analysis of portfolio performance, trends, and operational metrics and communicate insights to key stakeholders. * Recommend enhancements to business processes, reporting capabilities, and ...
MF Risk - Asset Management - Lead Associate
Plano, TX · On-site
$17.50 - $21/hr
Lead analysis of portfolio performance, trends, and operational metrics and communicate insights to key stakeholders. * Recommend enhancements to business processes, reporting capabilities, and ...
MF Risk - Asset Management - Lead Associate
Plano, TX · On-site
$17.50 - $21/hr
Lead analysis of portfolio performance, trends, and operational metrics and communicate insights to key stakeholders. * Recommend enhancements to business processes, reporting capabilities, and ...
As a Portfolio Analytics and Strategy Specialist Senior within PNC's Enterprise Risk Management organization, you will be based in Pittsburgh, PA / Charlotte, NC / Cleveland, OH / Raleigh, NC ...
As a Portfolio Analytics and Strategy Specialist Senior within PNC's Enterprise Risk Management organization, you will be based in Pittsburgh, PA / Charlotte, NC / Cleveland, OH / Raleigh, NC ...
Risk Management -Leveraged Finance Credit Risk Vice President - Technology, Media, Telecommunic[...]
Plano, TX · On-site
$120 - $160/hr
Risk Management - Leveraged Finance Credit Risk Vice President - Technology, Media ... Regular monitoring of your portfolio will be required to accurately assign risk ratings to clients ...
Risk Management -Leveraged Finance Credit Risk Vice President - Technology, Media, Telecommunic[...]
Plano, TX · On-site
$120 - $160/hr
Risk Management - Leveraged Finance Credit Risk Vice President - Technology, Media ... Regular monitoring of your portfolio will be required to accurately assign risk ratings to clients ...
Risk & Compliance Ensure all properties strictly comply with California landlord-tenant laws, Fair ... managing portfolios of 1,000+ units or 5+ separate assets * Bachelor's degree in Business, Real ...
Risk & Compliance Ensure all properties strictly comply with California landlord-tenant laws, Fair ... managing portfolios of 1,000+ units or 5+ separate assets * Bachelor's degree in Business, Real ...
Support traded products counterparty risk analysis in partnership with Sales, Trading, and Credit Officers across client portfolios * Operate effectively in a fast-paced environment, managing ...
Support traded products counterparty risk analysis in partnership with Sales, Trading, and Credit Officers across client portfolios * Operate effectively in a fast-paced environment, managing ...
Support traded products counterparty risk analysis in partnership with Sales, Trading, and Credit Officers across client portfolios * Operate effectively in a fast-paced environment, managing ...
Support traded products counterparty risk analysis in partnership with Sales, Trading, and Credit Officers across client portfolios * Operate effectively in a fast-paced environment, managing ...
Support traded products counterparty risk analysis in partnership with Sales, Trading, and Credit Officers across client portfolios * Operate effectively in a fast-paced environment, managing ...
Support traded products counterparty risk analysis in partnership with Sales, Trading, and Credit Officers across client portfolios * Operate effectively in a fast-paced environment, managing ...
Risk & Compliance Ensure all properties strictly comply with California landlord-tenant laws, Fair ... managing portfolios of 1,000+ units or 5+ separate assets * Bachelor's degree in Business, Real ...
Risk & Compliance Ensure all properties strictly comply with California landlord-tenant laws, Fair ... managing portfolios of 1,000+ units or 5+ separate assets * Bachelor's degree in Business, Real ...
Risk & Compliance Ensure all properties strictly comply with California landlord-tenant laws, Fair ... managing portfolios of 1,000+ units or 5+ separate assets * Bachelor's degree in Business, Real ...
Quick apply
Risk & Compliance Ensure all properties strictly comply with California landlord-tenant laws, Fair ... managing portfolios of 1,000+ units or 5+ separate assets * Bachelor's degree in Business, Real ...
The PMO is designing countermeasures to address root issues and mitigate portfolio risk. The PMO BA will support these initiatives. This position requires strong Excel and PowerPoint and experience ...
The PMO is designing countermeasures to address root issues and mitigate portfolio risk. The PMO BA will support these initiatives. This position requires strong Excel and PowerPoint and experience ...
Develops and presents analysis on performance, trends, and projections to upper management to ... Identifies and evaluates portfolio trends and KPIs relevant to commercial/dealer credit, including ...
Develops and presents analysis on performance, trends, and projections to upper management to ... Identifies and evaluates portfolio trends and KPIs relevant to commercial/dealer credit, including ...
The Regional Risk Manager (RRM) role is an in-business risk function (1st line) responsible for ... Review and analyze current and proposed client portfolios from a risk and suitability perspective ...
The Regional Risk Manager (RRM) role is an in-business risk function (1st line) responsible for ... Review and analyze current and proposed client portfolios from a risk and suitability perspective ...
You will help us monitor portfolio risk and respond quickly as market conditions evolve. Job ... Run ad hoc scenario analysis for senior management based on evolving market conditions * Partner ...
You will help us monitor portfolio risk and respond quickly as market conditions evolve. Job ... Run ad hoc scenario analysis for senior management based on evolving market conditions * Partner ...
Portfolio Risk Manager information
See Princeton, TX salary details
$32.6K - $44.6K
9% of jobs
$44.6K - $56.7K
15% of jobs
$58K is the 25th percentile. Wages below this are outliers.
$56.7K - $68.8K
15% of jobs
The median wage is $78.2K / yr.
$68.8K - $80.8K
15% of jobs
$80.8K - $92.9K
10% of jobs
$92.9K - $104.9K
9% of jobs
$109.1K is the 75th percentile. Wages above this are outliers.
$104.9K - $117K
11% of jobs
$117K - $129K
10% of jobs
$129K - $141.1K
5% of jobs
$141.1K - $153.1K
2% of jobs
$153.1K - $165.2K
1% of jobs
$32.6K
$88.5K
$165.2K
How much do portfolio risk manager jobs pay per year?
How does a portfolio risk manager typically collaborate with investment teams to manage risk?
What are the key skills and qualifications needed to thrive as a portfolio risk manager, and why are they important?
What does a portfolio risk manager do?
What cities near Princeton, TX are hiring for Portfolio Risk Manager jobs?
Cities near Princeton, TX with the most Portfolio Risk Manager job openings:

Full-time
This job post has expired today. Applications are no longer accepted.
Job description
Join a purpose driven winning team, committed to results, in an inclusive and high-performing culture.
Global Banking and Markets
Global Banking and Markets (GBM) is a leading Canadian Capital Markets and Investment Banking business with a growing platform in the US and Latin America, operating globally for over 100 years. Scotiabank's strong U.S. presence provides our clients an important bridge to this key global market for trade and investment flows across the Americas and the world.
Global Banking & Markets provides a full range of investment banking, credit and risk management products and services relevant to the financing and strategic development needs of our clients. Our products include debt and equity financing, mergers & acquisitions, corporate banking, institutional equity sales, trading and research, fixed income products, derivatives, energy, foreign exchange and precious & metals. We also cross-sell the full range of wholesale products and services offered by the Scotiabank Group.
Be part of an innovative, Global Capital Markets and Investment Banking business with a unique geographic footprint that puts capital to work for our clients across industries! We work together to drive ambition for every future!
Position: Director, U.S. Specialty Finance Credit Risk / Global Risk Management
Purpose
The position is responsible for managing U.S. Specialty Finance Credit Risk, which may include, but is not limited to, the following sectors: financial technology, non-bank lending, asset management and market structure
The candidate will:
- Provide risk leadership for the bank's U.S. Specialty Finance business that effectively balances the time-sensitive, urgent needs of individual deals and broader business considerations;
- Help refine and implement a U.S. Specialty Finance credit risk management framework, including the bank's risk appetite, to ensure that Scotiabank's expansion of financial institution lending into non-investment grade is conducted in a safe and sound manner;
- Assess proposed specialty finance company transactions and monitor the overall underwriting portfolio and the portfolio of held loans;
- The candidate will report to MD, Head of Non-Investment Grade Credit Risk and will work closely with the U.S. Head of Credit Risk, and the U.S. Chief Risk Officer, to present specialty finance credit risk management considerations to senior management; and
- Participate in specialty finance credit risk related discussions with Scotiabank's U.S. regulators.
Accountabilities
- Participating in the refinement and maintenance of U.S. non-bank credit risk frameworks and risk appetite statements that are aligned with industry standards and local regulatory expectations;
- Critically reviewing individual deals and independently leading the deal process from inception through approval. This includes review and diligence of the forecast cash flow / EBITDA and adjustments, capital structure, syndication issues, and risk / reward tradeoffs and making credit decisions within delegated authority or recommendations to senior management regarding credit approvals and declines;
- Critically review and produce reports on the specialty finance loan book to ensure the bank's portfolio is aligned with its risk appetite and / or identify issues for escalation to senior management and the Board of Directors;
- Partnering with the business to ensure day-to-day business activities are conducted within the bank's risk appetite and to manage the alignment of the bank's U.S. strategy, risk appetite and risk culture.
- Driving a customer focused culture that deepens client relationships and leverages broader Bank relationships, systems and knowledge;
- Building a high-performance environment and implementing a people strategy that attracts, retains, develops, and motivates their team by (1) fostering an inclusive work environment and using a coaching mindset and behaviors, (2) communicating vison/values/business strategy, and (3) managing succession and development planning for the team; and
- Creating an environment in which the candidate's team pursues effective and efficient operations of their respective areas in accordance with Scotiabank's Values, its Code of Conduct and other policies.
- Assist in the training and development of junior members of team, which includes putting direct reports in situations where they can present transactions and gain visibility within the organization.
- Effectively communicate with senior management, head office and the relevant Risk Committees to ensure proper risk management and sound corporate governance across the SBUS operations.
- Represent U.S. CRM at Senior Credit Committee including presentation of credit transactions and reviews from assigned portfolio.
- Participate in, and assist with, internal audits, regulatory reviews, and projects.
Reporting Relationships
Primary Manager: MD, Head of Non-Investment Grade Credit Risk / Global Risk Management
Direct Reports: Specialty Finance credit analysts
Education / Experience / Other Information:
- In depth specialty finance and non-bank financials credit risk expertise;
- Expert knowledge and understanding of U.S. bank regulator lending considerations and issues;
- Experience making timely, sound risk judgements, and succinctly communicating with senior management;
- Experience preparing and presenting non-bank financial company credit risk management issues to senior management; and
- At least 8-10 years of progressively higher levels of credit risk related responsibility
- The successful candidate will also be an excellent communicator and relationship builder who:
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- Understands how to bring the best out of the Director's team by complementing their existing skills
- Has an expert ability to balance competing or conflicting goals of various departments / countries / stakeholders via adopting a mature, diplomatic approach and using highly developed negotiation and influencing skills;
- Effectively liaises with key internal stakeholders, industry participants, and regulatory bodies.
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- The candidate must have a Bachelor's degree in a related discipline. A Master's degree, a recognized professional designation in a specialized area of finance or business, or equivalent, is an asset
Working Conditions
- Work in a standard office-based environment; non-standard hours are a common occurrence.
- Fast paced, quickly changing environment.
- Extended hours as needed to meet transaction deadlines.
Interested?
If your experience is closely related but doesn't align perfectly with every qualification, we do encourage you to apply - you might be the right candidate for this or other roles at Scotiabank!
At Scotiabank, every employee is empowered to reach their fullest potential, respected for who they are and, embraced for their differences. That's why we work to grow and diversify talent and engage employees in a performance-oriented culture.
What's in it for you?
Scotiabank wants you to be able to bring your best self to work - and life, every day. With a focus on holistic well-being, our many flexible benefit programs are designed to help support your unique family, financial, physical, mental, and social health needs.
#GBM
Location(s): United States : Texas : Dallas
Scotiabank is a leading bank in the Americas. Guided by our purpose: "for every future", we help our customers, their families and their communities achieve success through a broad range of advice, products and services, including personal and commercial banking, wealth management and private banking, corporate and investment banking, and capital markets.
At Scotiabank, we value the unique skills and experiences each individual brings to the Bank, and are committed to creating and maintaining an inclusive and accessible environment for everyone. If you require accommodation (including, but not limited to, an accessible interview site, alternate format documents, ASL Interpreter, or Assistive Technology) during the recruitment and selection process, please let our Recruitment team know. If you require technical assistance, please click here. Candidates must apply directly online to be considered for this role. We thank all applicants for their interest in a career at Scotiabank; however, only those candidates who are selected for an interview will be contacted.
Scotiabank is an equal opportunity employer. We evaluate qualified applicants without regard to race, color, religion, sex, sexual orientation, gender identity, national origin, disability, veteran status, or any other characteristic protected by federal, state, or local law.
About Scotiabank
Sourced by ZipRecruiter
Industry
Banking and credit intermediation
Company size
10,000+ Employees
Headquarters location
New York, NY, US