Portfolio Risk Manager Resume Samples

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M Bogisich
Mara
Bogisich
4130 Tillman Road
Boston
MA
+1 (555) 821 9250
4130 Tillman Road
Boston
MA
Phone
p +1 (555) 821 9250
Experience Experience
Philadelphia, PA
Portfolio Risk Manager
Philadelphia, PA
Hamill, Schmitt and Conn
Philadelphia, PA
Portfolio Risk Manager
  • Leading the ongoing design, management, coordination and execution of the Market Risk Identification Framework
  • Partner with finance, capital markets and risk teams to reconcile data and information in reports and ensure accurate reporting and variance explanations
  • Managing updates and presentations
  • Conducting stakeholder management across the MRM department
  • Provide thought leadership for establishing consistent decision frameworks to support risk strategy changes
  • Provide thought leadership to structure strategy analysis for key changes in originations and servicing
  • Knowledge of accounting
Boston, MA
Regional Portfolio Risk Manager
Boston, MA
Carter and Sons
Boston, MA
Regional Portfolio Risk Manager
  • Manage and develop Regional Risk MIS and Reporting functions, including COC and Basel reporting, as well as the design of new reporting capabilities
  • Engage in all project plans covering design, development, and implementation of the end-to-end credit life-cycle for the Commercial Banking businesses
  • Oversight responsibility for the retail commercial / delinquency managed portfolios
  • Coordinate and assist in countries’ preparation and follow ups for FCR and Internal Audit
  • Promote best practice sharing across businesses and credit /risk processes
  • Coordinate and prepare monthly EMEA Commercial Bank Risk Committee meetings and monthly Country Portfolio Reviews
  • SCO Coordinator for Post Loan Review Process in the Region
present
Houston, TX
Unsecured Consumer Lending Portfolio Risk Manager
Houston, TX
Olson, McKenzie and Bernhard
present
Houston, TX
Unsecured Consumer Lending Portfolio Risk Manager
present
  • Develop and present risk assessments and key reporting highlights to the Retail Banking Risk Committee
  • Identify and monitor relevant economic metrics that impact lending quality and adjust strategy as necessary
  • Support credit risk strategies within account retention, balance build, line increase or other marketing programs
  • Build, test and monitor champion/challenger strategies that drive continuous improvement in portfolio quality
  • Develop thorough, concise and data-driven business cases to support changes in strategy
  • Prepare written documentation in support of audit or regulatory exams
  • Design, build and maintain a risk control framework to track portfolio performance and trends against key metrics and risk indicators including reports that compare MUB portfolio performance against industry and peer benchmarks
Education Education
Bachelor’s Degree in Quantitative Discipline
Bachelor’s Degree in Quantitative Discipline
University of Central Florida
Bachelor’s Degree in Quantitative Discipline
Skills Skills
  • Demonstrate knowledge of Basic Computer Skills
  • Highly organised and motivated, with excellent communication and interpersonal skills
  • A familiarity/experience with key regulatory deliverables
  • Ability to work with functions across the business to communicate objectives, results and risk recommendations
  • 6 months as a Risk Specialist or comparable experience and performing at a Meets Expectations
  • Demonstrates strong customer service, team player and cross collaborative soft skills
  • Thorough knowledge of banking operations and human resources
  • Ability to manage multiple tasks/projects and deadlines simultaneously
  • A strong understanding of market risk and the products that generate them, spanning both traded and non-traded products
  • Demonstrate knowledge of Word and Excel
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9 Portfolio Risk Manager resume templates

1

Portfolio Risk Manager Resume Examples & Samples

  • Provide thought leadership to structure strategy analysis for key changes in originations and servicing
  • Provide thought leadership for establishing consistent decision frameworks to support risk strategy changes
  • Perform sophisticated analysis across various portfolios and segments under various economic scenarios to demonstrate risk/return behaviors
  • Work with product, marketing, finance, capital markets and operations to provide comprehensive strategy recommendations Identify breaches and early warning signals against established triggers/limits and work to identify root cause of such issues. Escalate to senior risk managers in timely manner
  • Partner with finance, capital markets and risk teams to reconcile data and information in reports and ensure accurate reporting and variance explanations
  • Produce scheduled and ad-hoc reports on risk appetite that are required by various constituents – mortgage banking, corporate finance, corporate risk, control functions and regulators
  • College degree in quantitative discipline. Masters or Ph.D preferred
  • Minimum 7-10 years experience in finance or risk analytics in banks/financial institutions
  • Experience in managing small or medium sized teams of analysts is preferred
  • Experience in large banks is preferred
  • Ability to rapidly prototype different risk and reward views and to extract key insights and conclusions from those views (SAS, MS Excel)
  • Experience in building predictive models and optimization methodologies
  • Familiarity in working with large data sets
  • Familiarity with statistical packages and libraries (SAS, JMP, SAS Enterprise Miner)
  • Very strong quantitative skills required to parse through large universe of variables, data and analysis and identify key influencing factors of behavior
  • Exceptional analytical skills required to communicate the messages from data analysis into credible thematic presentations
  • Ability to work with functions across the business to communicate objectives, results and risk recommendations
  • Ability to communicate results to senior executives and regulators in a crisp, concise and sensitive manner
2

Portfolio Risk Manager Resume Examples & Samples

  • Bachelor's degree in economics, finance, mathematics, statistics or related field. Advanced degree preferred
  • 5 - 7 years of experience in the consumer credit industry
  • 3 -5 years of experience in the management of consumer credit portfolios
  • 3+ years of experience using SAS and SQL
  • Management experience not required, but preferred
3

VP, Portfolio Risk Manager Resume Examples & Samples

  • Review weekly & monthly MIS to feedback based policy changes
  • Manage Acquisition mail campaigns from credit risk standpoint
  • Interact & Collaborate with Marketing, Decision Management, Finance & Policy Execution teams to flawlessly execute credit strategies
  • Perform Ad-hoc analysis & MIS to answer Senior leadership questions
  • Analyze bureau and credit information to develop insightful policy change recommendations based on risk reward trade off analysis
  • Manage Regulatory requirements and ensure proper documentation across Citi Brands Acquisitions
  • Identify reengineering opportunities across regulatory requirements for Acquisition credit policy
  • Bachelors Degree is required & Masters Degree preferred in Business, Mathematics, Economics, Statistics or a similar quantitative discipline
  • 2+ Years of experience in an analytical capacity is required
  • SQL / SAS , P & L Simulation
  • MS Office, MS Excel, Pivots & PowerPoint
  • Candidate should have excellent written and verbal communication skills, and be comfortable presenting work to peers, cross functional businesses & Senior Management
4

Regional Portfolio Risk Manager Resume Examples & Samples

  • Coordinate and prepare monthly EMEA Commercial Bank Risk Committee meetings and monthly Country Portfolio Reviews
  • Manage and develop Regional Risk MIS and Reporting functions, including COC and Basel reporting, as well as the design of new reporting capabilities
  • Adhere to and implement global policies and credit strategies specific to each country as needed
  • Engage in all project plans covering design, development, and implementation of the end-to-end credit life-cycle for the Commercial Banking businesses
  • Coordinate and assist in countries’ preparation and follow ups for FCR and Internal Audit
  • Establish and ensure ongoing profitability focus within a lasting process re-engineering / continuous improvement culture
  • Oversight responsibility for the retail commercial / delinquency managed portfolios
  • Promote best practice sharing across businesses and credit /risk processes
  • SCO Coordinator for Post Loan Review Process in the Region
  • Regional Basel Coordinator / SCO for EMEA Commercial portfolios
  • Regional MCA coordinator for EMEA Commercial Bank Risk
  • Commercial SCO an advantage; formal (commercial) credit training a requirement
  • Extensive Credit and Risk exposure required
  • Commercial Bank knowledge an advantage
  • Experience managing a large credit portfolio across geographies
  • Execution and management of large projects successfully
  • Excellent written and verbal communication skills and ability to communicate at all levels
  • Ability to work against tight timelines and multi-task
  • Self -motivated and demonstrate high level of initiative
  • Excellent MS PowerPoint and presentation skills
  • Ability to work under pressure and prioritize tasks
  • Highly organized, methodical with excellent attention to detail, analytical, and strong team player willing to learn and share experience
5

VP-credit & Power Portfolio Risk Manager Resume Examples & Samples

  • Ability to meet tight deadlines created due to business needs
  • Strong written and verbal communication skills with ability to present analysis and recommendation in a succinct manner
  • Ability to conduct on-site due diligence visits with relationship managers
6

VP-portfolio Risk Manager Resume Examples & Samples

  • Provide support in developing a coherent framework to model, measure and monitor portfolio-level risk within the bank, including various aspects of managing risk for a portfolio of diverse businesses/asset classes, analysis of VaR and diversification, stress test development
  • Play a key role in the co-ordination of market risk stress testing ( internal and regulatory mandated)
  • Engage with stakeholders across asset classes to ensure full communication of methodologies and assumptions required to calculate P&L and RWA stresses
  • Assist in designing and implementation of relevant risk MI for senior management
  • Analyze top-level risk measures (Stress results, VaR etc) for underlying risk drivers for inclusion in senior management MI on an ongoing basis
  • Be subject matter expert on market risk stress testing results and make presentations to senior management when required
  • To undertake other ad-hoc projects as required
7

VP-credit Authorizations Portfolio Risk Manager Resume Examples & Samples

  • Partner closely with internal project management, execution, Operations, IT and scoring teams
  • Bachelors Degree is required (Masters Degree preferred) in Business, Mathematics, Economics, Statistics, Engineering or a similar quantitative discipline
  • 5+ Years of experience in an analytical capacity is required for candidates with Bachelor degree; prior experience in financial industry is desirable. Transaction analytics experience is a plus
  • Understanding of Profit & Loss Drivers
  • Strong quantitative aptitude and advanced skills in Excel, Access, SAS, SQL and/or other analytical/data mining tools
  • Experience with a modeling package such as SAS E Miner, Knowledge Studio, TreeNet, Residual modeling is a plus
  • Good business acument and the ability to connect analytics with business decisions. Good written and verbal communication skills
  • Ability to work independently and manage and plan business initiatives from end to end
  • Comfortable presenting work to peers, cross functional businesses & senior management
8

Senior Portfolio Risk Manager Resume Examples & Samples

  • Focusing on the Commercial Real Estate and RRE portfolio at the outset, the candidate would be expected to provide risk input in the deal structuring (from greenlight stage to execution), credit analysis, and ongoing monitoring of the portfolio in accordance with the relevant product program requirements
  • In the capacity as a Senior Credit Officer (SCO), approve transaction in accordance with credit policy, product programs and risk guidelines, focusing on CRE and RRE specifically
  • Prepare periodic risk reviews, credit analysis and reports as required to highlight portfolio metrics for senior management, internal audit and external regulators
  • Contribute to the timely completion of portfolio reviews, and portfolio stress tests for senior risk and business management
  • Interact with Audit and Risk Review personnel and with external regulators during their periodic reviews
  • He or She would also be expected to demonstrate a strong product expertise across other product offering for the Investment Finance/CPB credit business (i.e. MSBF, capital markets, art and aircraft lending, private equity subscription finance, as well as other more tailored products)
  • The candidate may be expected to work closely with the Special Asset Restructuring Group within the portfolio management team and as such lead on any EMEA related remedial management
  • Review relevant product programs and jointly with business be responsible for program updates and maintenance
  • Support any Ad Hoc project requirements, including management/regulatory presentations or related reporting
  • He or she will participate in other business reviews and provide portfolio management analysis as required
  • Work closely with the Regional Risk Manager in support of strategic initiatives, need based
  • University Degree, MBA preferred
  • SCO initial required
  • Background in commercial real estate and experience in real estate lending required. In addition, experience in other product suite within the Private Banking business strongly preferred
  • Strong credit skills developed via previous experience in the corporate risk analysis, or restructuring
  • Excellent interpersonal, communication and presentation abilities and confidence to deal with internal and external clients, audit, regulators
  • Good organizational skills with the ability to prioritize and multi-task
9

Portfolio Risk Manager Resume Examples & Samples

  • The role will review, evaluate and assess all aspects of the firm’s Asset-Liability Management (ALM) processes for measuring, monitoring and managing the investment portfolio
  • Analyze risk embedded in a large multi-asset investment portfolio
  • Monitor key market risks and performance metrics
  • Assess Investment Risk and Hedging activities
10

Unsecured Consumer Lending Portfolio Risk Manager Resume Examples & Samples

  • Develop and maintain risk strategies that help drive soundness, profitability and growth in the credit card portfolio, including authorizations, re-issue, delinquency/collections, and line management strategies
  • Build, test and monitor champion/challenger strategies that drive continuous improvement in portfolio quality
  • Oversee credit / behavior scorecard development and periodic monitoring and validation. Set appropriate score cutoffs
  • Perform detailed monitoring and reporting, both periodic and adhoc, to efficiently and effectively provide insight into performance of credit strategies, and to identify unique risks and opportunities within the overall unsecured lending business
  • Identify and monitor relevant economic metrics that impact lending quality and adjust strategy as necessary
  • Support credit risk strategies within account retention, balance build, line increase or other marketing programs
  • Develop and present risk assessments and key reporting highlights to the Retail Banking Risk Committee
  • Prepare written documentation in support of audit or regulatory exams
  • Support audit and regulatory reporting requirements including data extraction, report creation and research
  • Bachelor degree and 7+ years’ of financial services experience
  • Analytical and modeling experience in credit card services, including portfolio management and collections strategies
  • Experience in TRIAD or Adaptive control strategy management preferred
  • Expert knowledge of MS Excel and significant experience using all MS office applications
  • Experienced in developing and presenting recommendations to senior management and executive committees
11

Portfolio Risk Manager Resume Examples & Samples

  • Measure and monitor the market, liquidity and credit risk in the $300 billion balance sheet of mortgage securities and loans. Support portfolio's risk position with attribution to provide feedback to senior management on business strategies. Produce risk management reports and monitor the relevant markets and portfolio activity
  • Work with Analytics team and traders to develop tactical and strategic guidance on portfolio's risk position that are consistent with limits and capital constraints. Provide recommendations to senior management. Support Capital Markets team with guidance on portfolio composition with specific allocation recommendations across asset classes and products. Assist in developing debt funding strategy
  • Identify assets that are rich or cheap by assessing model results against recent or expected market developments. Review risk reports and capital adequacy reports to maintain a comprehensive understanding of risk positions, market conditions and business strategies
  • Maintain an understanding of investment and funding guidelines, market risk policies, liquidity risk policies, credit risk policies, and capital policies
  • Coordinate with systems personnel to continually develop the infrastructure to support business and modeling needs. This includes the portfolio collection and aggregation process, access to appropriate market information and utilization of different pricing methodologies to estimate fair value, and database which satisfies reporting and analysis needs
  • Work with the trading and funding desks in real-time, at both the portfolio and security level, to develop specific hedge recommendations for portfolio management to improve return/risk profile. Support management through understanding P&L attribution and risk/return analysis and forecasting and deal structure
  • Fixed income experience or interest in fixed income markets - ideally mortgage related fixed income
  • Comfortable with mathematical, quantitative finance, market/liquidity risk measurement skills (i.e. Duration, Convexity, Value-at-Risk, Stress Testing, basic statistics)
  • Can communicate complex quantitative concepts to a non-technical audience of peers and executives
  • Demonstrates strong customer service, team player and cross collaborative soft skills
  • Advanced MS Excel and VBA experience is a plus
  • Being a CFA charter holder or a candidate is preferred but not required
12

Loan Portfolio & Risk Manager Resume Examples & Samples

  • Degree in Business Administration, or equivalent education
  • Several years of experience in a Middle Office function in Leveraged Finance, Real Estate Finance, Export Finance or in a Risk Management function of an Investment Bank
  • Good credit analysis skills (for example cash flow analysis)
  • Good understanding of complex legal documentation and complex structures
  • Good general knowledge in financing and banking products
  • Good capacity to anticipate adverse trends and to challenge information provided
  • Proficiency in MS Office Products
  • Fluency in both, German and English (written and orally) is essential, French language skills are of advantage
  • Being very pro-active and initiative taking
  • Strong interest in Structured Finance
  • High c lient and quality orientation
  • Being a very good team player with an open and transparent communication style
13

Portfolio Risk Manager Resume Examples & Samples

  • Partnering with MRM Managers to deliver a comprehensive risk taxonomy, overview documentation covering the development of the risk inventory and its material risks
  • Coordinating across the business MRMs, to ensure the completeness of the risk identification framework, ensuring a consistent approach and industry leading standards are achieved
  • Developing an overview of the improvements planned for all aspects of the framework i.e. methodology, infrastructure, reporting; including who is delivering each of these
  • Conducting stakeholder management across the MRM department
  • Managing updates and presentations
  • Relevant post graduate qualifications (beneficial)
  • A strong understanding of market risk and the products that generate them, spanning both traded and non-traded products
  • A familiarity/experience with key regulatory deliverables
  • Highly organised and motivated, with excellent communication and interpersonal skills
14

Portfolio Risk Manager Resume Examples & Samples

  • Three to five years of operations experience in the financial services industry
  • Two or more years of supervisory/management experience
  • Thorough knowledge of operation functions, systems, policies and procedures for the assigned area
15

Senior CMB Portfolio Risk Manager Resume Examples & Samples

  • The individual will be responsible for following and ensuring the adherence of the business to the broad, strategic direction of CMB. The jobholder is also required to operate with limited guidance and is expected to develop or leverage global/country strategies and solutions to optimise the country CMB position and minimise the cost of such effort
  • Typically qualifications would include post-graduate degree in Business Administration, Finance Risk Management or a related field
  • Senior management exposure and committee experience
  • Strong negotiation and persuasion skills
  • Excellent articulation and presentation ability, especially of complex subjects and implications to audiences with varying degrees of familiarity
  • Proven ability to operate across multiple regions in a large bank by building networks and leading teams that may not be directly managed. Ability to manage multilaterally
  • Demonstrated communication and interpersonal skills, including the capacity to articulate the case for risk management in the language of business
  • Understand and interpret complex business requirements and prioritise competing demands
  • Demonstrated ability to assess Risk trends, both internally and externally
  • Exceptional drive and commitment
  • Commercially minded; customer focused
  • Excellent presentation skills (written & verbal)
  • Ability to highlight problems but more importantly offer solutions, and drive through their execution in a collective environment
16

Portfolio Risk Manager Resume Examples & Samples

  • 6 months as a Risk Specialist or comparable experience and performing at a Meets Expectations
  • Demonstrate knowledge of Basic Computer Skills
  • Demonstrate knowledge of essential fraud prevention techniques and administrative functions as they relate to the required duties of the position
17

Portfolio Risk Manager Resume Examples & Samples

  • Analysis of Citigroup global market risk exposure across all products, portfolios and investment strategies
  • Monitor and analyse consolidated portfolio and identify and understand its major components. Develop metrics and tools to measure and monitor firm wide market risk
  • Understand implications of Citigroup market risk exposure to assess potential financial impact to Citigroup
  • Market risk analysis of the Loan Portfolio – assess market direction, industry trends and credit cycles
  • Bachelor's Degree- preferred in math/physics
  • 3-5 years of experience in market risk related job and/or market risk analytics
  • Knowledge of accounting
  • Experience with equity allocation
18

Aso / VP-portfolio Risk Manager Resume Examples & Samples

  • Build, maintain and manage a strong, integrated risk measurement infrastructure for proprietary equity portfolios
  • Ensure risk measurement capabilities and outputs are continuously improved and adjusted based on the evolution of the regulatory, statutory or corporate portfolio risk measurement requirements
  • Provide support to all stakeholders in research/quantitative/qualitative analysis of portfolios
  • Develop understanding of the markets in general and potential impact on portfolio risk
  • 5+ years equity markets experience
  • Equity Portfolio Management Experience
  • Good knowledge of systems such as Axioma, BARRA, Factset and Bloomberg
  • Knowledge of statistical programs (SPlus, R), would be a plus
  • Expert-level understanding of risk measurement techniques such as VaR and Tracking Error etc
  • Fluent in quantitative subjects such as Statistics
  • High research capability
  • Ability to conduct complex analysis and present data in a meaningful way
  • Ability to motivate and guide portfolio managers
19

Senior Portfolio Risk Manager Resume Examples & Samples

  • In the capacity as a Senior Credit Officer (SCO), approve transaction in accordance with credit policy, product programs and risk guidelines, focusing on CRE and RRE as a lead SCO, but also provide SCO coverage as and when necessary for other key products (MSBF, capital markets,etc)
  • Strong credit skills developed via previous experience in the corporate risk analysis, or restructuring (IRM experience helpful as well)
  • Background in commercial real estate and experience in real estate lending preferred. In addition, experience in other product suite within the Private Banking business strongly preferred
20

VP-portfolio Risk Manager Resume Examples & Samples

  • Understand and optimize rules governing Card Authorizations specifically pertaining to Over Credit Limit and Delinquency Authorization requests
  • Perform Transaction-level analytics to make informed decisions about Credit Abuse while balancing customer point of sale experience
  • Collaborate closely with Fraud to understand unusual transaction scenarios and put in place mitigating actions
  • Synthesize in-depth analysis succinctly and communicate to senior management
  • 5+ years experience in risk management, financial services or relevant field