Risk Policy Manager Resume Samples

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DS
D Schultz
Deion
Schultz
99060 Jerel Views
New York
NY
+1 (555) 784 5268
99060 Jerel Views
New York
NY
Phone
p +1 (555) 784 5268
Experience Experience
Phoenix, AZ
Risk Policy Manager
Phoenix, AZ
Harris-O'Hara
Phoenix, AZ
Risk Policy Manager
  • Working with cross functional teams to investigate and resolve identified issues and to strengthen controls
  • Developing champion and challenger strategies using tools such as CHAID / decision tree modeling
  • Developing champion and challenger recovery agency segmentations using tools such as CHAID / decision tree modeling
  • Monitoring implementation of approvals through operations and sharing necessary feedback with relevant stakeholder
  • Partnering with others (both inside and outside the team) to implement and assess strategy changes
  • Conducting Profit & Loss (P&L) / financial analysis
  • Designing tests and rolling out strategies
New York, NY
Gcg-unsecured Risk Policy Manager
New York, NY
Schroeder Inc
New York, NY
Gcg-unsecured Risk Policy Manager
  • Independently manage development and implementation of effective risk management strategies that help mitigate credit losses
  • Manage the MCA and QAF (Quality Assurance Framework) process for Risk management
  • Manage Credit Risk on Commercial Cards, Merchant Acquiring and Third Party counterparty risks and also provide control oversight for risk management function
  • Build a robust MIS to monitor credit performance; perform in-depth portfolio analysis to assess credit risk on a periodic basis
  • Design and manage credit policy related to new acquisition and Portfolio management for Commercial cards and Merchant acquiring business
  • Leverage bureau data to design strategies for the portfolio, along with the portfolio management analyst
  • Work closely with regional and global risk seniors to ensure CAs are approved timely and reflect the risks associated with that obligor
present
Houston, TX
VP, Risk Policy Manager
Houston, TX
Macejkovic LLC
present
Houston, TX
VP, Risk Policy Manager
present
  • Working closely with operations to optimize agency performance through goal setting, contests & performance management through targeted MIS
  • Establish solid cross-functional partnerships and networks to contribute and execute cross-functional and business initiatives
  • Hypothesis development, analysis, test design, test vs. control analysis, development of recommendations, and oversight of implementation
  • Developing, validating and/or reviewing management reporting
  • Perform analysis on CM /DM data on request from senior management in Business and Risk
  • Manage monthly Basel reporting process, oversee Data quality review and implement projects to address Basel overrides for delinquency managed portfolios
  • Representing Risk Management on inter-departmental Process Teams
Education Education
Bachelor’s Degree in Statistics
Bachelor’s Degree in Statistics
Chapman University
Bachelor’s Degree in Statistics
Skills Skills
  • Ability to quickly develop subject matter expertise across a broad spectrum of issues (“quick study”)
  • Strong interpersonal skills with the ability to build solid business partnerships and negotiate solutions
  • Ability to work independently and manage multiple projects to established timelines
  • Strong written and verbal communication skills
  • Proficiency with Microsoft Word, Excel, PowerPoint
  • Ability to navigate the organization through an established network
  • 5+ years of experience in credit risk management, Wholesale Credit/credit products (see Desired Skills)
  • Previous policy development and/or risk governance experience
  • Working familiarity with regulatory, audit, and/or compliance disciplines
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9 Risk Policy Manager resume templates

1

VP, Credit Bureau Risk Policy Manager Resume Examples & Samples

  • Determine capability of current continuity of business for each line of business to ensure a robust response in the event of system failure
  • Establish consistent test plans on an established schedule to ensure a functioning COB plan
  • Manage supplier risk management protocols with each Consumer and Business Reporting Agency
  • Develop an SRM scorecard for Credit Reporting Agencies establishing measures of SLA, performance and control
  • Engage with enterprise Supplier Risk Management to ensure transparency and consistency of evaluation across agencies
  • Responsible for identifying risks with suppliers in addition to addressing risks with action plans and CAP’s where necessary
  • 5+ years experience in financial services required
  • Bachelor’s degree required; advanced degree preferred
  • Must have strong oral and written communication skills
  • Experience in developing policy in risk management, operations or other aspects of financial services
  • Specific experience in working with control issues, with either internal or external partners is desired
  • Requires strong cross line of business leadership skills as candidate will be expected to interact with senior leadership both internal and external to Citi
  • Must be highly organized, have an ability to prioritize effectively, and be a self-starter
  • SAS and SQL skills strongly desired
  • Must be proficient in Microsoft office products
2

Risk Policy Manager Resume Examples & Samples

  • Excellent written and verbal fluency in English
  • Business / Industry job-related experience
  • Strong communication, interpersonal and influencing skills
  • Policy and/or Risk and/or Compliance experience gained within the financial services sector
  • Competent with Microsoft Office Suite - Word, Excel, Outlook and Power Point and Support Central
  • Bachelor's degree in Finance, Accounting, Statistics, Mathematics, Economics, Risk Management
  • Able to interact effectively with Senior Leaders
  • Interaction with supervisors / regulators / auditors
  • Additional European / Asian language would be beneficial
  • Working within a corporate / regional / multi country matrix environment
3

Deposit Risk Policy Manager Resume Examples & Samples

  • Setting booking criteria for deposit accounts utilizing internal and external data, including credit bureau data, deposit bureau data, internal data and alternate data sources
  • Monitoring new account performance and providing updates to senior management
  • Partnering with product teams, branches, operations and technology to implement new strategies
  • Create new account monitoring strategies and partner with Fraud Operations to implement these strategies
  • 5+ years of analytic experience in Fraud or Risk Management at a financial institution. Experience with first party fraud and/or liability products preferred
  • Bachelor’s Degree required (Master’s or above preferred) in a quantitative field such as engineering, statistics, mathematics or economics
  • 5+ years of SAS/SQL or equivalent experience required
  • Ability to interpret analytic results and present/summarize for management review
4

VP, Risk Policy Manager Resume Examples & Samples

  • Segmenting accounts using CHAID/CART methodologies to design champion/challenger collection strategies
  • Performing hypothesis testing using Statistical Experimental Designs such as Factorial Trials and Principle Analysis to determine impact from new treatments
  • Representing Risk Management on inter-departmental Process Teams
  • Minimum 5+ years experience in statistical analysis with working knowledge of at least one of the following statistical software packages: SAS (preferred), SPSS, Statistica, S+ or some equivalent
  • Ability to independently develop robust statistical segmentation models
  • The successful candidate will have demonstrable analytic and project management skills
5

Risk Policy Manager Resume Examples & Samples

  • Responsible for creating an internal risk grading model for new corporate acquisitions
  • Responsible for recommending credit lines using risk tool & scorecards
  • Monitoring implementation of approvals through operations and sharing necessary feedback with relevant stakeholder
  • Supporting the business and collections team in delinquency review and management
  • Education: CA/CFA/Cost Accountant/ MBA(Finance) With upto 2 years of work experience in working capital lending / SME underwriting / financial analysis
  • Ability to analyze company financials including but not limited to Balance sheet/P&L account/bank statements/external rating reports
  • Candidates from BFSI industry will be preferred
  • Essential skills
6

Global Risk Policy Manager Resume Examples & Samples

  • Take projects from original concept through final implementation
  • Develop work plans, schedules, project estimates, and status reports
  • Liaise between various risk groups as well as between Risk, Business, Legal and Operational
  • Manage projects that may cross multiple functional areas and businesses
  • Proficient in Microsoft Office, Microsoft SharePoint Development
  • Highly competent and experienced at multi-tasking
  • Ability to work under pressure and independently with a mix of self-direction and guidance
  • Strong work ethic and desire to improve knowledge of Risk Management processes and policies
  • Project Management Skills, including the ability to manage small to medium projects
  • Communication skills of complex concepts to a diverse audience, including senior management
  • Demonstrate integrity and sound/independent judgment, and know when to seek guidance as needed
  • Display a proactive approach to problem solving and the ability to meet tight deadlines
  • Writing ability, including ability to translate concepts into easy to understand policies
  • Generalist: Ability to understand wide breadth of knowledge of risk policies for interpretation
7

Risk Policy Manager Resume Examples & Samples

  • Produce presentations and communicate results to multiple levels of the business and technical organization
  • Manage and coordinate data quality and data conversion efforts for regulatory reporting and pre-CitiRisk remediation
  • Explore, plan and manage multi-region software delivery for regulatory and internal audit reporting
  • Explore, plan and manage multi-region software delivery for credit approval, credit management and document management
  • Explore and plan an integration and consolidation strategy for 3-region CPB technologies to evolve a best of breed platform anticipating a simplified conversion to CitiRisk
  • Team member reports into the CPB Risk chain and has high visibility to all levels of business and technology management as well as to all levels of on-shore/off-shore tech staffs
  • Education BA/BS, graduate degree is a plus
  • 5 to 7 years of relevant experience in a similar role
  • Experience/knowledge of programming, database design/implementation/maintenance, workflow design and business reporting tools
  • Advanced user of Microsoft Excel, Access, PowerPoint, SharePoint, incl. experience with Adobe Flex and SAP Business Objects is necessary
  • Experience/knowledge playing the user role in system integration projects, provide input to test plans and test scenarios
  • Ability to create and/or interpret process flows depicting business processes and synthesize information to senior management
  • Ability to act autonomously, deliver results on large scale projects, and propose viable pragmatic solutions
  • Basic understanding of credit risk management, corporate finance, and portfolio management
  • Attention to detail and ability to multi-task, work under pressure and effectively prioritize assigned tasks
  • Effective communication skills at various management levels
8

VP, Risk Policy Manager Resume Examples & Samples

  • Evaluating the financial and non-financial effectiveness of current loss mitigation treatment policies and programs. Includes completing P&L analysis and using CHAID / CART methodologies to de-average performance
  • Developing hypotheses, designing champion vs. challenger tests, overseeing implementation and execution of tests, completing test analysis and making recommendations
  • Ensuring that loss recognition / charge-off controls and monitoring are robust and fully compliant with OCC guidance and Citi policies
  • Participating in creating system requirements for new loss mitigation strategies and representing Risk Management throughout the development of new policies and strategies
  • Minimum of 5+ years related analytic experience using quantitative analysis, preferably in a risk context. Credit card experience preferred, but not required
  • Minimum 5+ years of experience in statistical analysis with working knowledge of at least one of the following statistical software packages: SAS (preferred), SPSS, Statistica, S+ or some equivalent
  • Experience with SQL programming in a UNIX environment is preffered
  • Ability to independently develop robust statistical segmentation models, conduct analysis and assess impacts from collection treatments/strategies
  • Outstanding communication and presentation skills, excellent interpersonal skills
  • Ability to establish solid cross-functional partnerships and networks to contribute and execute cross-functional and business initiatives
  • Successful candidate will have demonstrable analytic, problem solving and project management skills
9

Risk Policy Manager Resume Examples & Samples

  • Partnering with Branded Cards and Retail Services Risk Modeling teams to (1) develop recovery scoring and non-scoring models and (2) assess vendor scores and attributes for potential inclusion in recovery scoring models and non-scoring models. Non-scoring models include CHAID / decision tree models
  • Assessing recovery segmentation performance, including completing regular monitoring for CHAID / decision tree models and reviewing results with Risk, Operations and Modeling teams
  • Participating in creating system requirements for new recovery strategies and representing Risk Management throughout the development life cycle of a new strategy
  • Making significant contributions in the development of analytical tools used in the assessment of recovery strategies
  • Working with cross functional teams to investigate and resolve identified issues and to strengthen controls
10

VP-risk Policy Manager Resume Examples & Samples

  • Strong analytical skills. Superb attention to detail
  • Strong demonstrated writing ability; to clearly and succinctly convey his/her analysis and views to an audience of senior managers. (Writing Sample Required)
  • An ability to drive tasks through to completion, with periodic guidance
  • Flexibility in thought and approach; able to introduce creative solutions and enact reasonable judgment for complex issues that have no ‘right’ answer
  • 4+ years' work experience preferred; those with less experience may be considered given relevant investment product knowledge or risk management experience
  • Familiarity with hedging and investment products and services including derivatives. Genuine interest in expanding knowledge of investment and hedging products and services
11

Risk Policy Manager Resume Examples & Samples

  • Responsible for assisting in developing/revising risk management policies to address outstanding issues from external regulators, internal & external auditors, and issues raised by internal risk management and business management
  • Participate in working groups, as required, to develop new policy for significant business and cultural changes
  • Liaison with senior managers across ICG Global Risk and the businesses
  • Responsible for documenting product standards and guidelines for new/existing product programs
  • Respond to risk management questions from a public mailbox; provide interpretation, guidance and reference material for risk management related questions
  • Incorporate Policy awareness and knowledge into Learning and Development strategy
  • 2-4 years of Credit and Risk Management Lending Experience
  • Advanced writing ability
  • Demonstrated relationship management skills
  • Strong communication skills including presentations to senior management
12

Risk Policy Manager Resume Examples & Samples

  • At least 7 years of working experience
  • On-the-job knowledge in mortgage, consumer lending or credit card risk management
  • Must have reasonably good local industry and consumer banking field connection
  • Strong analytical skills and proficiency in quantitative methodologies
  • Strong business sense, with the ability to balance revenue and risk in designing credit policy to support business growth
  • Able to work under pressure
  • Ability to manage multiple projects, problems and ambiguity and also manage situations caused by non-controllable factor
  • Have strong initiative and high level of integrity
13

Mortgage Risk Policy Manager Resume Examples & Samples

  • Provide meaningful inputs to Acquisition Risk Manager to develop / modify credit policies to address both opportunities for expansion of volume as well as mitigate any quality/performance issues of any segment
  • Proactively initiating credit policy revisions arising out of change in regulation or other environmental factors viz. legal or market changes
  • Actively engage with mortgage product & sales teams, to identify areas of opportunity/concern related to credit policy
  • Actively engage with credit operations teams, particularly mortgage credit initiation, while developing / reviewing credit policy and risk control framework
  • Manage Quality & Control assessment as applies to credit risk policy and process in the area of new mortgage account origination, including mortgage credit vendors viz. valuation agencies and conveyancing firms
  • Use of automated decision tools available to the business to drive new business / portfolio actions in a controlled manner
  • Manage systemic controls through policy decision engines and other system platforms
  • Monitor through-the-Door (TTD) originations and ensure that these meet applicable benchmarks
  • Ensure and monitor strict compliance with all regulations and controls as set by the Bank, Global Risk and external regulatory authorities
  • Support business to achieve consistent satisfactory audit rating, through MIS and risk policy inputs
  • Minimum of 5 years of work experience – preferably in banking / financial service industry. Experience in a multinational bank and/or Risk Management would be an added advantage
  • Self-motivated, possess initiative and committed to quality
  • Strong team player with ability to work and think independently
  • Proficiency in the English language (both verbal and written)
14

Risk Policy Manager Resume Examples & Samples

  • Identifying opportunities to increase recurring payment enrollments
  • Developing champion and challenger strategies using tools such as CHAID / decision tree modeling
  • Qualifications include an undergraduate degree in Statistics, Economics, Engineering, Finance, Mathematics, or a related quantitative field. Graduate degree is highly desirable
  • Minimum of 5+ years related analytic experience using quantitative analysis, preferably in a risk management context. Credit card experience preferred, but not required
  • Strong conceptual, analytical / problem solving and communication skills + comfort dealing with ambiguity
  • Ability to independently lead strategy and analytical projects from idea to implementation to post-implementation validation and performance monitoring
  • Ability to establish cross-functional partnerships (especially with Risk Modeling, Operations and IT / Technology) to drive implementation of key initiatives
  • Ability to independently assess operational issues and develop remediation plans
15

VP, Risk Policy Manager Resume Examples & Samples

  • Designing tests and rolling out strategies
  • Conducting Profit & Loss (P&L) / financial analysis
  • Partnering with others (both inside and outside the team) to implement and assess strategy changes
  • Build and/or participate in cross-functional or cross-area project teams
  • Experience with SQL programming in a UNIX environment will also be helpful
16

Risk Policy Manager Resume Examples & Samples

  • Provide leadership to drive strategy changes, initiatives and decision-making for existing customer management in lending portfolios, through analytics, scorecard strategy development and implementation
  • Drive analytics to enhance understanding of customer relationship data across Citi to drive product strategies
  • Risk scorecard understanding and analysis including; cut-off analysis, score-based portfolio segmentation, profitability analysis and the monitoring of scorecards
  • Develop analytical frameworks to understand our customers' behaviors and patterns
  • Communicate initiatives and results to senior risk and business managers
  • Provide end-to-end support, from analytical assessment to policy development and finally implementation. Work closely with functional counterparts, to evaluate strategies and to implement policy/programs which will enhances the portfolio management, loss mitigation, sales growth while ensuring adequate portfolio quality and profitability
  • Bachelors Degree required, preferably in a quantitative field such as statistics, mathematics or economics (Masters preferred). Candidate should have a strong programming background and be highly analytical. 4+ years of hands-on SAS/SQL coding experience required. Highly organized, self-learner able to work in a fast paced environment with limited supervision and have the ability to manage multiple projects
  • Solid system utilization skills including spreadsheet and mainframe programs
  • Strong ability to interpret analytic results and present/summarize for management review
  • Experience in retail bank lending will be a plus
  • Excellent written and verbal communication skills essential to communicating results
17

Consumer Mortgages Credit Risk Policy Manager Resume Examples & Samples

  • Liaise with stakeholders across the consumer mortgages business in proactively reviewing, managing e.g implementing consumer mortgages credit policy
  • Ensure that consumer mortgages policy and practice is compliant with Citibank Global Risk Policy
  • Working with the Head of Mortgages Risk to ensure that the expectations of external and internal auditors (including regulators) are met
  • Review consumer mortgages portfolios and MIS performance regularly and move quickly to highlight, and in consultation with the Head of Mortgages Risk, act on any high risk segments
  • Contribute to and/or manage the production of presentations to local, regional and global stakeholders as well as regulators, liaising with stakeholders across the consumer mortgages business where required
  • Deliver mortgages specific training in conjunction with consumer mortgages team and Head of Mortgages Risk, as well as identify, develop and execute other training requirement for credit officers, collections staff or other business stakeholders
18

Collection Risk Policy Manager Resume Examples & Samples

  • At least 3 years experience in Collection or Credit Risk
  • Skill to use SAS and/or SPSS Clementine will be useful but not a pre-requisite
  • Fluent communication both in English and Bahasa Indonesia both verbally and in writing
  • Strong analytical & critical thinking
  • Ability to work well across organizational boundaries
  • Sensitivities to deadlines
19

Risk Policy Manager Resume Examples & Samples

  • Build targeting rules for back end check reviews and other risky transaction reviews
  • Partner with modeling team to develop new and manage existing scores
  • Key liaison with Fraud Operations, responsible for building review policies and procedures, managing capacity and monitoring defects
  • Build and maintain MIS on rule performance and operations effectiveness
  • Undergraduate degree in Statistics, Economics, Engineering, Finance, Mathematics, or other quantitative field. Graduate degree preferred
  • 5+ years of analytic experience. Fraud or Risk Management Policy experience preferred
  • Minimum 3 years of experience in statistical analysis with working knowledge of SAS and SQL or equivalent
  • Ability to work independently and comfort dealing with ambiguity
  • Ability to lead strategy and analytical projects from conception to implementation
  • Ability to establish cross-functional partnerships to drive implementation of key initiatives
20

VP, Risk Policy Manager Resume Examples & Samples

  • Minimum of 5+ years related analytic experience using quantitative analysis, preferably in a risk management context or in an environment where Champion vs. Challenger tests are common
  • Credit card or consumer finance experience preferred, but not required
  • Self-motivated, with the willingness and ability to navigate a large organization
21

VP, Risk Policy Manager Resume Examples & Samples

  • Responsible for implementation of key projects in LLR, CCAR and Basel III that are of strategic importance
  • Prepare CM & DM LLR recommendation for CPB. Interface with Senior Risk Managers, Finance and Risk partners within the firm in ensuring accurate and timely reporting of the results
  • Perform analysis on CM /DM data on request from senior management in Business and Risk
  • Manage monthly Basel reporting process, oversee Data quality review and implement projects to address Basel overrides for delinquency managed portfolios
  • Partner with Business partners and CORA to get Risk Rating scorecards approved
  • Partner with Risk Systems and Technology, Finance and Operations in delivering complex technology initiatives
  • The candidate should have 5-7 years of experience
  • The candidate should be conversant with Basel III rules for Classifiably Managed and retail/Delinquency managed, in-depth understanding of Basel sensitive data attributes
  • The candidate should be experienced with CCAR 14A stress loss estimation process, be knowledgeable on the model requirements and manage model developer
  • The candidate should have exposure to Risk Rating scorecard development and maintenance
  • The candidate should be analytically inquisitive, should work well in a team, and should possess strong problem solving capabilities
  • Work closely with regional risk teams in accomplishing common project deliverables
  • The candidate must have proven project management experience and ability in delivering complex projects
  • Wholesale and retail credit risk experience is required
  • Advanced user of Microsoft Excel including macros, Access, PowerPoint, Sharepoint, Business Objects and Adobe Standard. Experience with Visual Basic is a plus
  • Minimum education requirements are BA/BS in Economics, Finance or Mathematics. A graduate degree is preferred in the same field
22

Cards Risk Policy Manager Resume Examples & Samples

  • Develop, maintain and manage Credit and Collection policies to provide optimal risk and reward trade-off
  • Track portfolio trends and initiate timely control actions
  • Liaise with internal stakeholders and keep them abreast of credit performance and proactively drive actions as necessary. Ensure clear communication of priorities/deliverables to manage expectations
  • Work with credit operations unit implementation and governance of credit policies
  • Assess and revise Cards risk appetite framework including development of appropriate benchmarks. Initiate champion/challenger initiatives to test boundaries while maintaining healthy risk returns
  • Ensure timely completion of regional deliverables including concentration reports, status updates and any other ad hoc deliverables
  • Needs to be point of contact for stress test related activities for the unsecured portfolios including liaising with the global modelling team and regional teams to ensure timely development of loss forecasting models, submission of loss outcomes and documentation
  • University degree (Quantitative Academic qualification preferred)
  • Minimum of 5 years in similar role
  • Strong analytical and data mining techniques – such as SAS programming, decision tree tools and Excel (exposure to modelling techniques will be an advantage)
  • Knowledge of credit card business and risk management
  • Ability to present analytical trends into meaningful actionable strategies while thinking holistically
  • Proactive identification of issues/pressure points and initiation of corrective actions as necessary
  • Strong organisational skills : planning, follow-up, execution skills to drive intended results in a high pressure environment
  • Self-confidence and initiative
23

Gcg-unsecured Risk Policy Manager Resume Examples & Samples

  • Design and manage credit policy related to new acquisition of Bankcards and Ready Credit. Support tactical and strategic Risk Analytics projects for the businesses
  • Work closely with relevant stakeholders in Product, Sales, credit Operations to refine policy and process requirements
  • Continuous evaluation of effectiveness of current policies and strategies, highlighting concerns if any and proposing remedial actions, Close tracking of portfolio performance using SAS and decision tree
  • Design relevant benchmarks for the new portfolio to enable portfolio to remain within acceptable risk framework. Close monitoring of the performance against these benchmarks, along with detailed investigation in case of breaches
  • Apply innovative analytical techniques to customer and transaction data to build risk mitigation strategies and processes. Design tests to expand the customer base within acceptable target segment. Leverage bureau data to design strategies for the portfolio, along with the portfolio management analyst
  • Possess/ develop expertise on unsecured systems, especially the Credit Decision Engine. Partner with Technology, Operations and Business teams for system enhancements related to unsecured policy implementation. Participate in relevant system developments by getting involved in development, UAT and production cutover stages
  • Ensure timely and accurate reporting of acquisition related data internally and externally
  • Ideal candidate will have a degree holder with at least 7-8 years of work experience
  • Excellent knowledge of SAS and spreadsheets. Prior experience in data analytics and SAS system will be highly desirable
  • Knowledge of Consumer asset products would be helpful. Prior work experience in Risk Management, Credit Operations, or Decision Analytics will be an added advantage
  • Good communication skill (verbal & written) and able to articulate point of view and interact well with business partners
  • Strong team player and relationship management skill. Ability to effectively network with co-worker from cross functional and multi-task in a fast paced environment
24

Gcg-unsecured Risk Policy Manager Resume Examples & Samples

  • Design and manage credit policy related to new acquisitions for Bankcards and Ready Credit products. Support tactical and strategic Risk Analytics projects for the businesses
  • Design relevant benchmarks for the new portfolio to enable portfolio to remain within acceptable risk framework
  • Close monitoring of the performance against these benchmarks, along with detailed investigation in case of breaches
  • Design tests to expand the customer base within acceptable target segment
  • Leverage bureau data to design strategies for the portfolio, along with the portfolio management analyst
  • Partner with Technology, Operations and Product teams for system enhancements related to unsecured policy implementation. Participate in relevant system developments by getting involved in development, UAT and production cutover stages
  • Good knowledge of SAS and spreadsheets
  • Prior experience in data analytics and SAS system will be highly desirable
  • Knowledge of Consumer asset products would be helpful
  • Prior work experience in Risk Management, Credit Operations, or Decision Analytics will be an added advantage
  • Good communication skill (verbal and written) and able to articulate point of view and interact well with business partners
  • Strong team player and relationship management skill
  • Ability to effectively network with co-worker from cross functional and multi-task in a fast paced environment
25

Gcg-unsecured Risk Policy Manager Resume Examples & Samples

  • Manage Credit Risk on Commercial Cards, Merchant Acquiring and Third Party counterparty risks and also provide control oversight for risk management function
  • Design and manage credit policy related to new acquisition and Portfolio management for Commercial cards and Merchant acquiring business
  • Work closely with relevant stakeholders in Product, Sales and credit Operations to refine policy and process requirements
  • Continuous evaluation of effectiveness of current policies and strategies, identifying opportunities, highlighting concerns if any and proposing remedial actions, and close tracking of portfolio performance
  • Review and approve Credit appraisals (CA) on high risk/value relationships (Commercial cards, Merchant acquiring and counterparty risks)
  • Work closely with regional and global risk seniors to ensure CAs are approved timely and reflect the risks associated with that obligor
  • Ensure all the annual CA reviews are carried out on time
  • Build a robust MIS to monitor credit performance; perform in-depth portfolio analysis to assess credit risk on a periodic basis
  • Manage the MCA and QAF (Quality Assurance Framework) process for Risk management
  • Knowledge on assessment of company financials statements would be beneficial
  • You should have strong portfolio analytical and financial analysis skills, with demonstrated ability to conceptualize and clearly communicate the analytical findings, both verbally and in writing
26

Risk Policy Manager, VP Resume Examples & Samples

  • Establishes policy governance, management and administration approaches. Implement a policy center of excellence operating model for ongoing policy governance and administration
  • Implements and manages the Policy on Policies
  • Implements and manages a consistent policy development and maintenance governance review & approval process
  • Implements and manages appropriate set of templates, standards, styles and definitions. Monitors the consistency and adequacy of policy application
  • Develops a timeline and manages conversion of existing policies to updated standards
  • Initiates effort to reduce policy burden on enterprise. Develops, implements and manages plans and processes to streamline and retire policies. May involve development of regional and international policies
  • Select, implement a centralized policy management application. Manages the centralized storage of all policies and related documents and establishes a workflow to ensure proper review and approval for policy lifecycle
  • Develops, implements and manages a process to ensure that new regulations, products, strategic initiatives are incorporated into policy
  • Ensures alignment of policy across entities and region
  • Collaborate with a team in overseeing, coordinating and managing policies, primarily across risk management
  • Provides shared service and coordinate policy development / updates with other key risk subject matter experts. Plan for enterprise policy oversight
  • Develops and approves policies and procedures on prospective products and ensures that documentation criteria are in accordance with internal standards as well as external regulatory and legal requirements
  • Reviews policies and procedures to ensure their appropriateness and adequacy against industry best practices and regulatory requirements
  • Leads other risk management colleagues to drive significant advancement of practices across the enterprise
  • Manage relationships across risk management and policy owners, coordinates with other colleagues within organization, with training for policy and regulation content and with Legal on key components of policy
  • May handle external regulatory entities as requested
  • Develops key relationships across the Region and Head Office
  • Extensive knowledge of risk management, risk governance best practices
  • Deep industry experience in banking and risk management rules and regulations
  • Experience with policy best practices
  • 10-15 years demonstrated experience in risk management
  • Strong communication, writing and presentation skills
  • Strong work ethic, ability to make decisions and work under tight deadlines
  • 15% travel required
27

Risk Policy Manager, Operational Risk Resume Examples & Samples

  • Manage the development of varied risk management policies, concerned with variety of risk such as operational, market, credit, counterparty, and the like. Communicate standards and methodology for direct reports
  • Confer with management of unit(s) for which risk policies are being developed, in order to understand business processes and operating conditions. Confer with unit and senior management to develop standards for developing the corporation's risk policies
  • Conduct, or supervise the conduct of reviews of operating unit performance that assess how practices and operations conform to regulatory requirements. May review large and complex quantitative reports that document unit performance
  • Manage the development and presentation of positions, recommendation, and metrics for senior management
  • Manage the performance of subordinate staff. Provide for professional or technical growth through assignment, mentoring, or training
  • Knowledge of operational risk framework required
  • Previous managerial experience required
  • Previous experience with policy, standards or procedure development required
  • Strong collaboration and consensus building skills
  • Previous experience supporting senior management governance committees, a plus
  • Mortgage experience, a plus
28

VP, Risk Policy Manager Resume Examples & Samples

  • Four year degree in Statistics, Economics, Engineering, Finance, Mathematics, or a related quantitative field. Graduate degree is highly desirable
  • Minimum 5+ years of Credit Cards related experience or 6+ years related analytic experience using quantitative analysis, preferably in a risk context
  • Experience with segmentation / decision tree
29

VP, Risk Policy Manager Resume Examples & Samples

  • Developing champion and challenger recovery agency segmentations using tools such as CHAID / decision tree modeling
  • Working closely with operations to optimize agency performance through goal setting, contests & performance management through targeted MIS
  • Develop/ Optimize recovery strategies for Litigation including selection & treatment
  • Assessing recovery segmentation performance, including completing regular monitoring and reviewing results with Risk, Operations and Modeling teams
  • Representing Cards Recovery Risk on inter-departmental process teams
  • Undergraduate degree in Statistics, Economics, Engineering, Finance, Mathematics, or a related quantitative field
  • Minimum of 5 years related analytic experience using quantitative analysis, preferably in a risk management context
  • Loss mitigation experience highly desirable
  • Chaid segmentation/ Decision tree experience preferred
  • Ability to establish cross-functional partnerships (especially with Operations and IT / Technology) to drive implementation of key initiatives
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VP, Risk Policy Manager Resume Examples & Samples

  • Partner with Collections Operations to ensure adherence to Collections requirements in Global Consumer Credit and Fraud Risk Policies (including requirements for collections management, people, technology, process, strategy, control, event risk management, vendor management, and portfolio MIS). Includes identifying policy adherence gaps, developing corrective action plans, obtaining approvals for temporary exceptions, completing remediation and obtaining approvals to officially close gaps
  • Lead Risk review of monthly Collections Capacity Plan, including validating adherence to GCCFRP requirements, reviewing key assumptions and identifying any issues or concerns
  • Lead development of Citi Client First Collections strategies for customers with multiple card accounts – Includes completing benchmarking, developing improvement hypotheses, completing analysis to prove or refute hypotheses, designing tests, securing approvals partnering with Operations to implement test, overseeing test execution, reading test performance and developing recommendations
  • Bachelor’s Degree (Masters or above preferred) in finance, economics, statistics, engineering, mathematics, operations research or other fields with a strong focus on quantitative analysis
  • Superior conceptual skills and problem solving ability
  • Demonstrated ability to deliver results that significantly improve performance
  • Ability to develop partnerships, work cross functionally, and influence Risk Management, Operations and external constituencies
  • Proven history creating, manipulating, and analyzing large data sets using SAS, SQL, or other similar software to create solutions and customer segmentations that significantly impact business results
  • Expertise with Microsoft Excel, PowerPoint and Word
  • Prior champion / challenger, CHAID / decision tree and/or Collections or Recovery experience is desirable, but not required
31

Risk Policy Manager Resume Examples & Samples

  • Setting policies and procedures for fraud operations reviews of deposit accounts to mitigate first party fraud and credit losses
  • Liaison between analytics team and operations team to successfully implement risk mitigation strategies
  • Review large loss events to identify analytics, policy and operational defects and improve processes to limit future losses
  • Partner with Fraud Operations team to improve their training and processes to improve efficiency and effectiveness
  • Manage vendor relationships with debit bureaus including vendor oversight, contacts, data contributions and product enhancements
  • 5+ years of risk or fraud management experience required in financial services or related field
  • Undergraduate (or higher) degree in quantitative field preferred
  • Ability to lead projects from conception to implementation
32

Risk Policy Manager Resume Examples & Samples

  • Participate in the policy development, management and governance processes supporting commercial credit risk policies
  • Lead work groups to perform Scheduled Reviews of policy and related documents, including team formation, drafting and socialization
  • Partner with Business Unit Risk and LOB teams in support of local policy development and monitor completion of governance deliverables
  • Collaborate with Business Unit Risk and LOB management to identify risk issues and develop risk policy solutions
  • Support policy development in response to regulatory, audit, and credit review exam findings
  • Provide policy advice and consultation to employees on the application and interpretation of policy
  • Develop and deliver policy communication and training, including articles, decks, and other resources
  • Manage policy content storage and delivery through loading, publishing, and quality assurance routines within Vignette Content Management
  • Prepare governance presentations and monthly reporting for Enterprise Credit Risk
  • Collaborate with Enterprise Credit Risk colleagues to support credit risk program deliverables and leadership priorities
  • Manage governance documentation in compliance with record retention requirements
  • Assist with research and retrieval of archived policy in response to legal discovery or internal/external exam inquiries
  • 5+ years of experience in credit risk management, Wholesale Credit/credit products (see Desired Skills)
  • Previous policy development and/or risk governance experience
  • Ability to quickly develop subject matter expertise across a broad spectrum of issues (“quick study”)
  • Ability to work independently and manage multiple projects to established timelines
  • Strong interpersonal skills with the ability to build solid business partnerships and negotiate solutions
33

VP, Risk Policy Manager Resume Examples & Samples

  • Measuring impacts and forecast volumes and performance of segmentation strategies and emerging trends using SAS, SQL, UNIX programming, regression techniques, ad statistical methods
  • Segmenting accounts using CHAID/CART methodologies to develop Collections strategies in intensity, entry, payment programs, litigation, agency placement, off shoring, and Debt Sales
  • Contributing to development of analytical tools to assess risk and policy
  • Focusing on segmentation analytics and strategy development for various card portfolios
  • Using statistical methods to classify accounts based on risk and collections treatment efficiency
  • Work with cross functional teams to investigate and resolve issues and strengthen controls
34

VP, Risk Policy Manager Resume Examples & Samples

  • Hypothesis development, analysis, test design, test vs. control analysis, development of recommendations, and oversight of implementation
  • Designing tests and rollout strategies
  • Analyzing tests and performance using SAS
  • Conducting P&L analysis
  • Developing, validating and/or reviewing management reporting
  • Partnering with others (both inside & outside the team) to implement and assess strategy changes
35

VP, Risk Policy Manager Resume Examples & Samples

  • Representing Risk Management on inter-departmental process teams
  • Researching and applying new statistical techniques that can improve predictive power of collections models
  • Minimum 5+ years of Credit Cards related experience or 5+ years related analytic experience using quantitative analysis, preferably in a risk context
  • Minimum 5+ years’ experience in statistical analysis with working knowledge of at least one of the following statistical software packages: SAS (preferred), SPSS, S+ or some equivalent
36

VP Collections Risk Policy Manager Resume Examples & Samples

  • 5+ years’ experience in credit card risk management or equivalent training and experience preferably in the financial services industry
  • Ability to apply credit and risk principles toward business objectives
  • Demonstrated ability to synthesize, prioritize and drive results with a high sense of urgency