Risk Mgr Resume Samples

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EW
E Walter
Ellen
Walter
99977 Glover Throughway
Los Angeles
CA
+1 (555) 373 0411
99977 Glover Throughway
Los Angeles
CA
Phone
p +1 (555) 373 0411
Experience Experience
New York, NY
Mgr Risk Adjust Dataoperations
New York, NY
Wilkinson, Bauch and Kulas
New York, NY
Mgr Risk Adjust Dataoperations
  • Manage monthly extracts from Enterprise Reporting Repository (ERR) and the loading of claims and encounter records into risk adjustment CDM application. Resolve any processing issues on a timely basis. Coordinate with Corporate Operations to ensure completeness and accuracy of claims and encounter records
  • Direct, oversee, and report the claims and encounter submissions per the SOX compliance process
  • Create Risk Adjustment Processing System (RAPS) file submissions and work with Trizetto to arrange submission to CMS
  • Manage the submission of edata through CDM to CMS from providers' supplemental data files, in home assessment records, medical record review coding files, and health evaluation program coding
  • Track and process RAPS return files from CMS
  • Track, analyze and fix errors and rejections that occur in the CDM application and that are returned from CMS
  • Perform as the Risk Adjustment department liaison and point of contact with Trizetto and MHI IT on the CDM application. Design and conduct testing of application changes and updgrades
Philadelphia, PA
Senior Mgr Enterprise Risk Mgmt
Philadelphia, PA
Bernhard, Smith and Rosenbaum
Philadelphia, PA
Senior Mgr Enterprise Risk Mgmt
  • Assist in the development of test plans for new product launches and related compliance testing
  • Develop communication strategy and work with key stakeholders on implementation
  • Lead ERMC programs, including goals, policies, key performance indicators (KPIs), and policy enforcement functions
  • Work directly with business stakeholders to operationalize policies and guidelines and ensure adequate training
  • Partner with risk, controls & testing teams to develop controls, monitoring programs and reports
  • Participate in internal working groups consisting of Amazon business stakeholders to set priorities and coordinate the feature roadmaps for systems that support ERMC programs, incorporating new technological advancements
  • Identify system limitations that could lead to regulatory risks in new products and services, and provide guidance for resolution and risk mitigation
present
Phoenix, AZ
Credit & Portfolio Risk Mgr, VP
Phoenix, AZ
Friesen LLC
present
Phoenix, AZ
Credit & Portfolio Risk Mgr, VP
present
  • Providing leadership and guidance to junior staff
  • Performing initial and annual credit reviews on a portfolio of hedge funds
  • Advancing and innovating risk management tactics
  • Streamlining processes and changing firm-wide policies and procedures to be more reflective of current market conditions
  • Interacting with Hedge Fund clients, trading desks, operations and legal
  • Approving trades and communicating with the sales force on a daily basis
  • Negotiating the credit-related terms in ISDA< MRA, MSFTA and toher capital markets documentation
Education Education
Bachelor’s Degree in Public Health
Bachelor’s Degree in Public Health
Baylor University
Bachelor’s Degree in Public Health
Skills Skills
  • At least five years of direct work experience in Model Risk Governance, Financial Institution Risk Management, Controller of a Department, or comparable experience
  • Ability to understand ‘big picture’ concepts and translate to daily work and deliverables
  • Manage multiple priorities and deliverables producing reliable output on time and within any budget constraints
  • Ability to interact both verbally and in writing with management
  • Ability to lead others through change in a positive manner
  • Working knowledge of corporate governance policies and procedures
  • An ability to change the thinking of, or gain acceptance from, others in sensitive situations without damaging relationships
  • Ability to think strategically (short- and long- term) and identify the impacts of various decisions
  • Role model for the corporate risk management culture
  • Ethical behavior
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11 Risk Mgr resume templates

1

Credit Policy & Risk Mgr Resume Examples & Samples

  • Requires a Bachelors degree in finance, business or accounting and 6+ years credit, credit analysis, lending or other directly related experience, management experience required
  • Employs broad knowledge of lending and credit policies and credit risk management techniques and practices, various banking regulatory requirements and processes, preferably in a complex organizational environment
  • Must be able to analyze and make recommendations with respect to the various components of the loss reserve
  • Strong knowledge of key credit risk indicators and economic factors impacting credit quality
  • Must have strong communication skills, both verbal and written
  • Ability to work with all levels of management and analysts
2

Fr-fin Risk App Dev Mgr Resume Examples & Samples

  • Manage a team of high performing resources to deliver robust software that meets quality, product and project requirements
  • Responsible for all the people management activities
  • Partner with the business and build relationships
  • Set team priorities
  • Work with other teams
  • Participate in project planning sessions with product/project managers, business analysts and team members to analyze business requirements and outline the proposed IT solution
  • Design reviews and provide input to the design recommendations; incorporate security requirements into design; and provide input to information/data flow, and understand and comply with Project Life Cycle Methodology in all planning steps
  • Adhere to IT Control Policies throughout design, development and testing and incorporate Corporate Architectural Standards into application design specifications
  • Participate in code reviews and ensure that all solutions are aligned to pre-defined architectural specifications
  • Experience in Finance
  • Experience with Agile software development
  • Exposure to Open Source technologies (Maven/Ant, Junit, Log4J, MyBatis, etc)
  • Experience with the Financial Services industry and/or high volume transaction processing systems
  • Deep understanding of, SDLC processes and automated tools, spanning requirements/issue management, defect tracking, source control, build automation, test automation and release management
  • Experience in estimating, validating and sizing of development projects
  • Strong technical and leadership skills to mentor guide and coach a group of talented, passionate staff
  • Experience in leading and partnering with high performing, diverse technical teams across line of business
3

Senior Mgr, Risk-orm Resume Examples & Samples

  • Development of Transamerica IT Risk Oversight framework
  • Bachelor’s degree in Accounting, Finance, Business or Management Information Systems or equivalent experience
  • 10+ years of technical IT and audit experience or equivalent experience required
  • Relevant experience with SOC1 and/or SOX audits
  • Collaborative attitude, strong communication skills
  • Very good relationship management skills
  • Very good influencing and persuasion skills
  • Very good planning, prioritizing and goal setting skills
  • Very good problem solving and decision making skills
  • Able to challenge conventional practices and pursue continuous improvement
  • Experience in an international corporate setting preferred
  • Fluency in English (both written and oral
  • Certified Internal Auditor (CIA), Certified Information Systems Auditor (CISA)
  • Knowledge of IS audit standards (COBIT, COSO) Preferred
  • Preferred varied IT and Audit experiences with Mainframe, Databases, UNIX
  • Client Server Systems, Telecommunications, Firewalls, Intrusion Detection & Information Security
4

Credit & Portfolio Risk Mgr-funds Resume Examples & Samples

  • Industry Expert and Advisor, senior Credit Officer, various management responsibilities
  • Analyse and approve counterparty credit limits for trading, transactional and financing businesses with funds
  • Advise businesses and clients on transaction structures and negotiate credit terms e.g. ISDA and CSA
  • Strong, balanced judgment to make credit decisions and recommendations
  • Interpersonal skills – build relationships, deal with conflict / disagreement, interact well with seniors
  • European languages useful, e.g. German, French, Dutch
  • 5+ years of previous experience in the funds or asset management sector
  • CFA a strong positive but not a requirement
5

Risk Transformn Financials Mgr Resume Examples & Samples

  • Develop tools to track overall transformation programme costs (actuals and targets), provide visibility to senior management for return on investments
  • Track resource requirements for transformation delivery
  • Develop mechanism for early identification of potential cost issues
  • Develop and maintain consolidated programme reporting for governance forums
  • Establish cost/benefit tracking approach with risk adjusted targets aligned to programmes
  • Develop mechanism to identify and prevent “double counting” of benefits and enable robust change control
  • Templates, dashboards and reporting structures defined and implemented which are aligned to overall PMO approach
  • Gap analysis of cost targets and the benefits associated with in flight projects
  • Creation of tools, templates and best practice methods to derive cost reduction initiatives based on best practice cost reduction methodology, and training materials
  • Drive feasibility studies and scenario analysis to help identify potential additional cost savings to meet shortfalls to target
  • Good financial management skills and an understanding of cost reduction and benefits realisation methodologies and approach
  • Demonstrated ability to manage people and team workload, working to deadlines and tight timescales
  • Strong analytical skills and ability to make observations, synthesise recommendations and present effectively to senior management
  • Ability to articulate complex issues and concepts to varying audiences
  • Strong written and verbal communication skills, including the ability to lead and contribute to challenging discussions
  • Effective relationship building skills across a diverse group of people
  • Excellent stakeholder management, with the ability to balance and manage diverse stakeholders through strong personal credibility
  • Ability to work with ambiguity and take the initiative
  • Demonstrated experience in modelling, analysing and reporting
  • Strong excel and PowerPoint competency
6

Assoc Mgr Quality Risk Management Resume Examples & Samples

  • Manage and continually improve Quality Risk Management (QRM) system supporting groups identified in the summary
  • Requires a 3rd Level Qualification in Life Sciences with 6+ years of relevant progressive experience in QA within the Pharma / Biopharma industry
  • Experience in the pharmaceutical/medical device/biotechnology industry with proven experience in leading cross functional teams preferred
7

Risk Mgr Resume Examples & Samples

  • Partnering with teams to identify risk patterns across the enterprise in a data driven way to enable risk reduction
  • Facilitate the development of technical/process oriented remediation plans by partnering with key stakeholders
  • Sustain criteria and standard path for risk decision making and security exceptions Coordination of cross-company working groups as part of our Information Risk Management Council
  • Excellent interpersonal communication, executive presence, and presentation skills
  • Strong cross group collaboration and team player
  • A BS/BA in Information Systems, Business or related field or the equivalent experience
  • 5+ years experience in Information Security or related fields
  • 5+ years experience in project management
  • Proven business and IT acumen
  • Proven track-record influencing without authority, resolving conflict, and measuring results Understanding of Data Classification/Data Management is a plus
  • General understanding of 3rd party vendor security assessments a plus
8

Portfolio Risk Mgmt Mgr Resume Examples & Samples

  • Lead assessment of servicing performance activities related to single-family servicing of single-family mortgage loans of company’s $1.7 Trillion book
  • Build partnerships with Single-Family Servicing to establish limits and thresholds of various performance metrics and lead development of independent risk assessments
  • Analyze and monitor servicing of performing and non-performing loans and provide effective challenge to first line business on loss mitigation decisions
  • Provide oversight of loss mitigation functions performed by single-family servicing including, modifications, short-sales and deed-in-lieu decisions
  • Review and independently analyze impact of updates to Freddie Mac’s decisioning models and analyze exceptions for trends and emerging risks related to servicing
  • Analyze effectiveness of servicing programs developed and implemented by SF Servicing by reviewing delinquency trends and loans in foreclosure and REO
  • 8+ years of related professional work experience
  • BS / BA Degree in Finance, Economics
  • Proficient in MS Office Suite and/or other analytical tools
  • Demonstrated skills in performing empirical analysis and synthesizing information for presenting to other stakeholders and senior management
  • Experience in residential mortgage servicing industry with specific focus on loss mitigation and workout strategies
  • MBA in Finance / Economics / Statistics / Quantitative Finance
  • Strong data management skills using MS Excel / Access, Microstrategy or analytical tools to query data, prepare reports and presentations
9

Risk Policy Mgr Resume Examples & Samples

  • Bachelor’s degree, or equivalent education and experience
  • 6-8 years’ experience including significant experience writing policy
  • Understanding of the functions of an enterprise risk management program within the context of the three lines of defense
  • An ability to change the thinking of, or gain acceptance from, others in sensitive situations without damaging relationships
  • Ability to think strategically (short- and long- term) and identify the impacts of various decisions
  • Ability to interact both verbally and in writing with management
  • Ability to lead others through change in a positive manner
  • Ethical behavior
  • Manage multiple priorities and deliverables producing reliable output on time and within any budget constraints
  • Role model for the corporate risk management culture
  • Ability to understand ‘big picture’ concepts and translate to daily work and deliverables
10

Risk Policy Mgr Resume Examples & Samples

  • Bachelor’s degree in Business, related field, or equivalent work experience
  • Strong presentation, development and writing skills
  • Ability to work effectively with continuous changes and short deadlines
  • Knowledge of Enterprise Risk
  • Excellent PowerPoint, Excel and Word skills
  • Experience with controls and board reporting
11

Senior Mgr Enterprise Risk Mgmt Resume Examples & Samples

  • Identify, design and prepare key business metrics for various programs
  • Financial, planning and analysis of fixed and variable cost centers
  • Develop communication strategy and work with key stakeholders on implementation
  • Design quality assurance processes for key programs
  • Design process to capture standards and methods utilized across team
  • 10+ years’ experience
  • Experience managing or coordinating projects involving multiple resources and across multiple jurisdictions
  • Proven track record of implementing scalable solutions (systems, procedures, processes, etc.)
  • Familiarity with e-commerce technologies
  • Ability to identify situations that may pose significant compliance risk and guide management in the development/reviewing of applicable policies, procedures and business practices
  • Demonstrates an analytic mind-set and creative problem-solving abilities
12

Collateral Risk Policy Mgr Resume Examples & Samples

  • Analyze, develop and recommend collateral risk management policies and guidelines specific to manufactured housing, properties in rural locations and affordable housing preservation
  • Provide guidance and interpretation on collateral related policies and issues to internal and external customers; and
  • Perform work on a variety of collateral related policies and guidelines on an as-needed basis
  • An extensive knowledge of real estate appraisal methodology, mortgage loan origination industry financing methods, loan origination processes, property valuation and underwriting, and investor loan eligibility requirements is required
  • Must have demonstrated the ability to effectively lead a cooperative effort among members of a project team
  • Strong analytical/problem solving skills required
  • The highest level of professionalism, self-motivation, adaptability and flexibility to work in a fast changing environment required
  • The ability to manage priorities and multi-task required
  • Ten years financial services related work experience required
  • College degree or equivalent experience required – advanced studies/degree preferred
  • FHA Title 1 and 2 knowledge and lending experience preferred
13

Risk Mgmt Mgr Resume Examples & Samples

  • Facilitate implementation of Risk Control Self-Assessment (RCSA) in accordance with the RCSA policy
  • Gather, Assess and Review KRIs on regular basis, ensuring that adequate explanation is provided for Red/Amber KRIs, challenge business on KRIs measured are appropriate for current business needs
  • Review Operational Risk Events and challenge business on the appropriateness of root cause / preventive actions
  • 30% 2. Ensure all Business Process Change (Global footprints / system conversions) are assessed from risk perspective and implement the RCSA/KRI framework to monitor the risks as per the policy 50% 3. Manage the team of Sr. Risk Analyst 10% 4
  • Preparing dashboards for Sr. Management, Risk Review Forum, Client and Regulator Visits
  • Conduct Risk Management Framework Training
  • 10% 6. Other duties as assigned including
  • Comply with BNYM corporate policies and procedures, including policies and procedures applicable to BNY Mellon (India)
  • Alert management including the Senior Risk Manager for BNY Mellon (India) immediately of any significant changes to business risks and internal control effectiveness
  • Notify management and the Senior Risk Manager for BNY Mellon (India) immediately on discovery of any regulatory breach
14

Credit & Portfolio Risk Mgr, VP Resume Examples & Samples

  • Negotiating the credit-related terms in ISDA< MRA, MSFTA and toher capital markets documentation
  • Providing leadership and guidance to junior staff
  • 5+ years of previous work experience in related field
  • Motivate and confident to drive change
  • Real sense for how to build/support business growth
15

SVP, Credit Portfolio Senior Risk Mgr Resume Examples & Samples

  • Partnering with Finance to complete financial planning requests & CCAR/DFAST results review documentation as part of the business review and effective challenge process
  • Coordinate with Central CCAR evolve efforts to better coordinate business reviews and increased integration of credit risk & PPNR results
  • Establish and continually evolve standardized business and submission documentation
  • Drive continuous improvement of information controls with organizations outside of Risk to meet business objectives
  • Drive centralized reporting requirements
  • BA or BS degree in Statistics, mathematics, engineering, economics, or related quantitative discipline (Master’s degree in an analytical field is a plus)
  • Strong understanding of forecasting models
16

Mgr, Risk Review Credit Resume Examples & Samples

  • Identify “root causes” for process misalignment and client friction
  • Manage various functions within the department
  • Interact with sales management to ensure all client issues are resolved
  • Along with other senior leaders within the division, set and/or influence direction of correspondent operations, credit and sales as well as secondary marketing, IT, treasury and loan servicing
  • Interact with secondary marketing to keep up-to-date with investors’ credit policies (FNMA, Freddie Mac, FHA, VA and private label)
  • Ensure that all loans are purchased in accordance with company investors’ credit policies
  • Partner with key clients to improve processes to ensure effective interdepartmental synergies
  • Provide executive management key data required to drive strategic plan
  • Perform other related duties as required and assigned
  • Demonstrate behaviors which are aligned with the organization’s desired culture and values
  • Bachelor’s degree or higher in business administration, finance or related field preferred
  • Thorough understanding of all aspects of correspondent lending processes
  • Contemporary knowledge of mortgage industry and operational practices
  • Functional understanding of applicable federal, state and local lending regulations
  • Knowledge of basic computer software programs, including Internet, Windows and Microsoft Office Suite
  • Excellent communication skills with the ability to interact with all levels of external clients and internal leadership and think in a strategic manner
  • Look for ways to improve and promote quality and demonstrate accuracy and thoroughness
  • Demonstrate ability to advance multiple priority assignments independently, concurrently and within established deadlines
17

Mgr Risk Adjust Dataoperations Resume Examples & Samples

  • Manage monthly extracts from Enterprise Reporting Repository (ERR) and the loading of claims and encounter records into risk adjustment CDM application. Resolve any processing issues on a timely basis. Coordinate with Corporate Operations to ensure completeness and accuracy of claims and encounter records
  • Direct, oversee, and report the claims and encounter submissions per the SOX compliance process
  • Create Risk Adjustment Processing System (RAPS) file submissions and work with Trizetto to arrange submission to CMS
  • Manage the submission of edata through CDM to CMS from providers' supplemental data files, in home assessment records, medical record review coding files, and health evaluation program coding
  • Track and process RAPS return files from CMS
  • Track, analyze and fix errors and rejections that occur in the CDM application and that are returned from CMS
  • Perform as the Risk Adjustment department liaison and point of contact with Trizetto and MHI IT on the CDM application. Design and conduct testing of application changes and updgrades
  • Manage the Electronic Data Processing (EDPS) data submission process and ensure that all available data is accepted by CMS and manage the transiton from RAPS to EDPS. Own and maintain the Edge server, and ensure data is valid and complete
  • Coordinate with IT on ICD-10 conversion and ensure risk adjustment needs are met
  • Map and manage all the medical charts received by RAMP teamincluding HEP, IHA, HEDIS
  • Establish PMPY claims/encounters dashboards and alert local teams when volumes do not meet expectations
  • Develop Marketplace HHS default Risk Score calculation model in SQL server and maintain
  • Manage welcome call data, lab and Rx data and use it for the potential riskscore for Marketplace members
  • Manage a staff of four Knowledge of regulations related to data submission for Medicare Advantage, MMP, and Marketplace risk adjustment
  • Knowledge of RAPS and 837I (5010) formats and file protocols
  • Ability to interact effectively with manager and director level employees
  • Strong leadership capabilities, and ability to initiate and maintain cross-team relationships
  • Demonstrated ability to complete complex tasks and data processing reliably on time
  • Ability to abide by Molina's policies
  • 3 years experience in routine medical claims and encounter processing preferably in Medicare risk adjustment
  • One to two years of management experience at the manager level
  • Experience with the requirements of SOX and Risk Adjustment Data Validation
  • Experience working in a multiple state health paln environment
  • Experience with Trizetto QNXT and CDM application
  • Specific experience in RAPS and EDPS data management and submission
18

Senior Mgr Enterprise Risk Mgmt Resume Examples & Samples

  • Lead ERMC programs, including goals, policies, key performance indicators (KPIs), and policy enforcement functions
  • Implement solutions that achieve compliance objectives while enabling strategic business objectives, providing an optimal customer experience, and scaling to support future business growth
  • Participate in internal working groups consisting of Amazon business stakeholders to set priorities and coordinate the feature roadmaps for systems that support ERMC programs, incorporating new technological advancements
  • Partner with global product, technology and compliance teams to advise on new product offerings, including the regulatory and business risk implications, and define and implement new requirements within supporting systems
  • Assist in the development of test plans for new product launches and related compliance testing
  • Identify system limitations that could lead to regulatory risks in new products and services, and provide guidance for resolution and risk mitigation
  • Partner with risk, controls & testing teams to develop controls, monitoring programs and reports
  • Assist in building a comprehensive and sustainable compliance program for current and future businesses around the globe
  • Work directly with business stakeholders to operationalize policies and guidelines and ensure adequate training
  • 10+ years of experience leading technology operations or developing systems and applications
  • Experience working with large data sets and complex computer environments
  • Experience operating in a regulated environment and/or with regulated products/services
  • Familiar with e-commerce and payments technologies
  • Experience managing or coordinating projects involving multiple resources and teams
  • Ability to think about compliance broadly and develop effective compliance solutions that meet business objectives
  • Proven ability to work collaboratively cross-functionally, and vertically across an organization
  • Excellent verbal and written English communications skills
  • Proven ability to facilitate and influence technology discussions with senior business leaders
  • Experience with computer controls, and information security and protection measures
  • Self-starter who can work objectively with integrity and exercise sound business judgment
  • Bachelor’s degree in a relevant field of study
  • Advanced college degree in computer science or related field of study
  • Experience in SoX readiness and IT control audits
  • Experience with identity verification and fraud detection systems and programs
19

Mgr, Loan Risk Review Consumer Resume Examples & Samples

  • Supervise a team of Risk Review direct reports, which includes providing performance feedback, preparing or reviewing performance evaluations, assisting in the development, coaching and training, and all other personnel management functions
  • Oversee all credit review projects and Risk Review personnel on the team. Responsible for project planning, execution, reviewing all work papers, ensuring all work meets Risk Review department standards, interaction with business unit management, report writing and ensuring work is completed timely. Escalate issues through the RCS leadership team
  • Maintain current knowledge of regulatory and accounting credit related guidance, focusing on consumer credit. Communicate with TCF legal counsel, compliance, and RCS to stay current on the assigned credit portfolios and projects and to provide updates on Risk Review’s related credit review activities
  • Work with the Director, Loan Review, Functional Leader(s) and Sr. Analysts, Loan Review to develop the Risk Review annual plan, which includes participating in the annual risk assessment process
  • Establish and maintain internal and external business relationships. Interact with business unit leadership as well as senior management and regulators, as appropriate
  • Maintain awareness of emerging credit risks, new strategic initiatives, new credit/lending products and loan portfolio acquisitions. Recommend proposed changes to RCS coverage plans to RCS Leadership Team
  • Monitor trends in assigned loan portfolio performance and make credit policy recommendations, when warranted, to compensate for changes in risk. Through continuous assurance activities for assigned portfolio(s), monitor emerging credit risks, bank-wide compliance with credit regulations as well as bank policies and procedures
  • Prepare Risk Review reports for assigned projects and portfolio(s), ensuring compliance with Risk Review report standards and ensure accuracy prior to submission to Risk Review management
  • 6+ years of bank credit related experience and responsibility for credit and credit-related products including 1st and 2nd mortgage, indirect auto loans, loss mitigation products, collections, foreclosure, OREO and loan servicing. Including at least 3 years of experience in credit review
  • Experience in project management including exceptional planning and organizing skills
  • Proven leadership and team work skills and experience
  • Knowledge of Credit Risk Management, Internal Controls and Governance concepts and frameworks. Thorough knowledge of applicable regulatory requirements
  • Proficient with Microsoft Word, Excel, and PowerPoint
  • Strong verbal, written and interpersonal communication skills
  • Excellent analytical skills; ability to analyze information, problems, practices, procedures, and data to identify risk concentrations
  • MS in Finance
  • MBA, CFA, CPA, FRM
  • Work Experience/Skills
  • Regulatory experience from the OCC or Federal Reserve Bank as a bank examiner for credit products
  • Experience using data analytics software
  • Supervision of Direct Reports
  • Supervision of personnel from other areas assigned to projects
20

Collateral Risk Policy Mgr Resume Examples & Samples

  • An extensive knowledge of real estate appraisal methodology, mortgage loan origination industry financing methods, loan origination processes, property valuation and underwriting, and investor loan eligibility requirements
  • The highest level of professionalism, self-motivation, adaptability and flexibility to work in a fast changing environment
  • Ten years financial services related work experience
  • FHA Title 1 and 2 knowledge and lending experience
21

Risk Policy Mgr Resume Examples & Samples

  • Bachelor’s Degree in Finance/Economics, Accounting, Risk Management, or another related field; or equivalent experience
  • At least 8 years of business experience, preferably in risk management, consulting, strategic re-engineering, or audit/compliance
  • Strong customer service skills, demonstrating responsiveness and positive outcomes in stressful situations
  • Well-established skills in Microsoft Office, including Word, Excel, Visio, Access, and PowerPoint
  • Strong reasoning and problem solving skills, including ability to understand work assigned, the ultimate objective, end-to-end tasks and deliverables
  • Strong verbal communication skills, including excellent listening skills, confidence while interacting with senior management and the ability to work on a team or as an individual contributor
  • Strong written communication skills, including concise messaging, proper use of grammar, and good organization/flow of presentations
  • Advanced Certification (e.g., PMP, CPA, or PRM/APRM) or Master’s Degree
  • At least five years of direct work experience in Model Risk Governance, Financial Institution Risk Management, Controller of a Department, or comparable experience