Gavilon
Gavilon

60 Gavilon Credit Risk Manager Jobs Hiring Near You

... management. Identifies, outlines, and mitigates risks associated with potential lending ... Ensures credits are accurately risk rated and are properly monitored and reported. * Prepares all ...

Risk Management The Credit Risk Strategy Manager I (US) manages the creation, implementation and validation of various risk segmentation strategies including, but not limited to: adjudication ...

... Credit Manager to join our U.S. team. In this role, you will help drive a step-change in how we ... Develop repeatable frameworks for evaluating tradeoffs between conversion, risk, yield, and ...

Manager, Credit Risk

$120K - $160K/yr

Responsibilities The Credit Risk Manager is responsible for developing and executing credit risk strategies that optimize portfolio performance across multiple loan products. This role serves as the ...

Produces and analyzes ongoing risk management reports and analyses. Performs ad hoc analysis of Credit Risk trends and portfolio performance, as well as forward-looking analysis. Analyzes ...

Produces and analyzes ongoing risk management reports and analyses. Performs ad hoc analysis of Credit Risk trends and portfolio performance, as well as forward-looking analysis. Analyzes ...

Showing results 21-40

Gavilon Jobs Information

Credit Risk Manager, Vice President

Supplier Login

Jersey City, NJ • On-site

Full-time

Re-posted 15 days ago


Job description

Responsibilities:
  • Manage a portfolio as a credit officer.
  • Perform due diligence and regular portfolio reviews.
  • Analyze credit risk, determine accurate ratings, and recommend them to management.
  • Prepare detailed credit analysis and applications based on policies and procedures.
  • Evaluate borrower's industry, business, legal, and financial risks.
  • Recommend credit extensions to management.
  • Collaborate with business lines to maintain portfolio safety and growth.
  • Share important account information with relevant teams across the bank.
  • Communicate directly with assigned customers.
Deal Support:
  • Identify and assess prospective transactions with business lines and product groups.
  • Spot structural risks and suggest improvements to deal structures and covenants.
  • Advise account officers on credit risk terms to maximize profit and minimize credit cost.
  • Communicate directly with the credit division, providing necessary information for decisions.
Policy Compliance & Mentoring:
  • Ensure compliance with regulatory, policy, and procedural requirements.
  • Participate in policy meetings to improve the credit risk framework.
  • Support, mentor, and train junior analysts.
  • Guide junior analysts on complex assignments and skill development.
Basic Qualifications:
  • 6+ years of experience in credit or risk functions at financial institutions or similar.
  • At least 3 years of experience analyzing financial institutions and conducting due diligence.
  • Experience working with senior management of client organizations.
  • Strong corporate credit analysis and risk management knowledge.
  • Ability to create complex financial models for repayment assessment.
  • In-depth knowledge of loan documentation and structural risks in corporate finance.
  • Understanding of regulatory environments in Japan (FSA, BOJ) and the U.S. (FRB, FDIC).