VP, Risk Management Resume Samples

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DP
D Powlowski
Diana
Powlowski
7344 Colin Radial
Boston
MA
+1 (555) 127 8449
7344 Colin Radial
Boston
MA
Phone
p +1 (555) 127 8449
Experience Experience
San Francisco, CA
VP Risk Management
San Francisco, CA
Mills-O'Connell
San Francisco, CA
VP Risk Management
  • Provide regular tracking reports to business units regarding data related expenses
  • Perform proactive analytics which assess and support portfolio strategies, such as Early Warning, and identify emerging risks
  • Liaise with Small Business Product and Sales teams to develop and implement portfolio growth strategies
  • Prepare risk assessments and presents senior management with a clear and consistent approach to mitigate political, legal, regulatory, and other risks
  • Manage and monitor access and usage of credit bureau related products and services
  • This position should directly manage at least two professionals
  • Proactively determine portfolio threats, and manage problem and delinquent accounts on a portfolio basis
Boston, MA
VP, Risk Management
Boston, MA
Swift, Stokes and Jerde
Boston, MA
VP, Risk Management
  • Formulate, procure, implement and oversee global insurance policies and procedures
  • Review renewal insurance policies and compare various methods/costs of coverage
  • Serve as liaison to brokers, carriers, third-party administrators and other risk partners
  • Provide consultative services to the Live Nation divisions on risk and insurance
  • Develop strategies to minimize corporate and operating risk exposures, maximize risk transfer solutions
  • Serve as advisor to the businesses on contract insurance and indemnification language
  • Provide guidance, review and oversight of Certificate of Insurance protocol
present
Dallas, TX
VP Risk Management, Private Banking
Dallas, TX
Williamson-Murray
present
Dallas, TX
VP Risk Management, Private Banking
present
  • Liaise with Shared Service functions around risk identification and management, co-ordinating reporting of risks
  • Provide analysis and commentary on risk reporting including aggregation and correlations of risk
  • Improve ongoing risk environment with the execution of robust independent
  • Assist the Head of ERM in advising the business on whether the risks inherent in its business strategy are consistent with its risk appetite and tolerance is consistent and in line with the Group’s strategy and risk appetite / tolerance
  • Working with FLDS to monitor and assess risk undertaken by the business
  • Support and challenge FLDS in the identification of the risks of CSUK and assessment of controls as part of the annual Risk and Control Self-Assessment
  • Provide risk oversight and challenge, with particular focus on the operational risks of the business. Conduct operational risk desk deep dives and report on the design and effectiveness of the operational risk management control environment
Education Education
Bachelor’s Degree in Mathematics
Bachelor’s Degree in Mathematics
Iowa State University
Bachelor’s Degree in Mathematics
Skills Skills
  • Strong written and verbal communication skills. Ability to translate technical subjects into business explanations with multiple alternative action steps
  • Advanced ability to balance detail with departmental goals/objectives
  • Highly advanced people management skills, demonstrating an ability to lead, mentor and develop associates
  • Expert knowledge of life, annuity products and ability to model various insurance products and reinsurance structures
  • Ability to work independently and to work well within a team environment and to participate as a leader in department projects
  • The ability to formulate, document, and implement formal policies and procedures
  • Ability to multi-task and meet tight deadlines
  • Excellent interpersonal and communication skills
  • Advanced knowledge of commercial real estate development, construction, and corporate and partnership legal and taxation issues
  • Demonstrates ability to understand business strategy and execute functional tactics leading to business accomplishments
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13 VP, Risk Management resume templates

1

Assistant VP Risk Management Consumer Banking Resume Examples & Samples

  • Lead audit projects from planning to reporting and deliver a quality product in line with department standards
  • Finalize audit findings and use judgment to provide an overall opinion on the control environment
  • Partner with colleagues, regulators, clients and control community members to develop, evaluate, test and report on the adequacy and effectiveness of control environment
  • Build and maintain key relationships with stakeholders, establishing a culture of engagement while adding value
  • Partner with other groups within Audit to ensure the delivery of an integrated audit program of coverage
  • Contribute to a business climate and culture that encourages integrity, respect, excellence and innovation
  • Bachelor's degree in Accounting/Finance, Economics or related discipline
  • 5 years auditing experience or public accounting
  • 5 years of audit/business process improvement experience
  • CPA or similar designation required
  • Working knowledge of Regulatory Compliance
  • Knowledge of banking industry preferred
  • Proficiency in risk analysis
  • Ability to plan, lead and execute audit assignments
  • Ability to manage multiple tasks concurrently in an efficient and effective manner and with minimal supervision
  • Perform audit work in accordance with department and professional standards and complete assignments in an efficient manner
  • Excellent communication (i.e., verbal and written) and interpersonal skills, with the ability to present complex and sensitive issue to senior management and influence change
  • Enthusiastic, self-motivated, effective under pressure and willing to take personal responsibility/accountability
  • Advanced desktop skills in products to support the above (Excel, PowerPoint etc.)
  • Ability to perform out of state travel up to 25%
2

VP Risk Management Resume Examples & Samples

  • Manage and monitor access and usage of credit bureau related products and services
  • Ensure contractual requests are appropriately reviewed by corporate and/or external counsel
  • Bachelor's degree in mathematics, statistics, finance, economics, related field or equivalent experience; Masters Degree preferred
3

Risk Manager, VP-risk Management Resume Examples & Samples

  • Work closely with the Business Banking Chief Risk Officer, Deputy Risk Officer and Risk Directors in BB Risk on critical MIS and credit related projects to ensure timely and effective completion
  • Lead risk related projects such as, but not limited to, Risk Models, Approval Process, Risk Policy, Special Credits, Operational Risk and Data Quality
  • Support the Business Banking Risk Management team by developing and executing high priority risk strategies across all functions of the risk organization
  • Responsible for development and execution of project plans and materials for various Risk related projects and strategic initiatives
  • Function as both a subject matter expert and project manager on assigned projects
  • Ability to work across LOBs to collaborate on strategic initiatives in Consumer and Commercial Banking
  • Skills will also be leveraged across various projects where project management, data and reporting needs exist
  • 7 plus years Risk Management or other related experience required; in a banking or financial services environment preferred
  • Excellent skills working in Excel, Access and PowerPoint applications
  • Ability to develop strong working relationships with individuals within Risk Management and others within the organization
  • Excellent written, oral and interpersonal skills a must including the ability to explain and/or present reporting materials and analysis
  • Must have the ability to deliver high-quality results under tight deadlines and to work independently wile managing multiple deadlines and priorities
4

Risk Manager, VP-risk Management Resume Examples & Samples

  • Candidate will be required to oversee Business Banking(BB) guidelines/procedure development and to shepherd all new and updated policies, guidelines and procedures
  • Interpret corporate, wholesale and BB Line of Business policy/guidelines/procedure requirements and determine applicability to and across BB
  • Coordinate all related implementation projects associated with new policies/guidelines/procedures
  • Ensure new policies/guidelines/procedures are properly vetted and prepared for senior management/BB Risk Committee approval as needed
  • Write or help write new policy, guidelines and procedures where necessary
  • Prepare BB Risk Committee and other senior management presentation decks as needed
  • Edit and streamline existing BB guidelines and procedures to remove duplication: wherever possible, refer to wholesale and corporate policy
  • Create a directory of key risk guidelines and procedures for BB
  • Maintain a share site and ensure communication of all newly approved or updated policies, guidelines and procedrues to appropriate audiences
  • 7 - 10 years in bank operations, control, risk and/or audit function with experience and/or exposure to multiple bank operations
  • Identify cost effective control requirements that mitigate risk of financial loss while ensuring a top level customer experience
  • Knowledge of Business Banking, Commercial Bank, Wholesale, JPMC strongly preferred
  • BS in Finance, Math, Economics or related studies required
  • MBA/Credit training, strongly preferred
  • Outstanding communications skills: written and verbal
  • Ability to interface with multiple channels/operations and at multiple levels of management
  • Very strong organizational and multi-tasking skills
  • Self-starter, can work independently and drive projects to completion
  • Ability to work with a variety of people throughout the organization
  • Ability to analyze process flows and identify potential control requirements
  • Familiarity with banking legal and compliance requirements a plus
  • MS office suite required
  • PM workbench or similar tools highly desired
5

VP Risk Management Resume Examples & Samples

  • Bachelor’s degree in mathematics, statistics, finance, economics, related field or equivalent experience; Master's Degree preferred
  • Seven or more years proven statistical analysis experience or equivalent, Management experience as well as knowledge and understanding of financial services preferred
  • Strong management, interpersonal, organizational, analytical, problem-solving, negotiation, project management skills
  • Proficiency with personal computers as well as pertinent mainframe systems and software packages. Programming skills to include knowledge of statistical programs (i.e. SAS, SPSS)
6

Senior VP Risk Management Resume Examples & Samples

  • Develop and manage people strategy
  • Risk Governance and Administration – Represents the function on various cross-function teams and interfaces with other areas in the company, for example Human Resources, to ensure Risk as an overall function stays within compliance with pertinent internal and external polices and processes
  • Eighteen years proven credit policy and/or credit risk management/analytics experience, or equivalent. Strong knowledge and understanding of financial services preferred
  • Bachelor’s degree in management, finance, economics, related field or equivalent experience; Masters Degree preferred
  • Strong managerial, leadership, analytical, planning, problem-solving and communications skills
  • In-depth knowledge of all facets of credit policy, risk management, credit risk assessment and credit management as well as quantitative experience
7

Senior VP Risk Management Resume Examples & Samples

  • Ten years proven credit policy and/or credit risk management/analytics experience, or equivalent
  • Well-developed management, interpersonal, organizational, analytical, problem-solving, project management and verbal and written communication skills
  • Ability to manager large, diverse teams across multiple sites, if applicable
8

VP-risk Management Resume Examples & Samples

  • New York State Registered Nurse License
  • BSN
  • 5+ years of experience in Risk Management, Performance Improvement and Corporate Compliance in Medical Center setting at a director level or above
  • Knowledge of insurance products, healthcare law and clinical practice
  • Auditing, whistleblower statutes, and required components of a compliance program pursuant to federal and state False Claims Act, Stark Law, and anti-kickback regulations knowledge
  • Knowledge of Joint Commission, CMS and NYS DOH regulatory standards
  • Expert understanding of federal and state compliance regulations
  • Prior psychiatry experience
9

VP Risk Management Specialty Markets & Adjacencies Resume Examples & Samples

  • Lead for risk in the underwriting and approval of new credit requests, credit line renewals for existing customers, and on-going monitoring of the current portfolio with specific focus on GE Engine Leasing, GECAS Specialty Markets and Milestone Aviation
  • Review of transaction documents to ensure adequate structure in accordance with approvals and coordinating as necessary with Deal Team functional experts
  • Bachelor's Degree with 6+ years of credit analysis experience in commercial lending or investment businesses
  • Proficient in use of Microsoft Office Suite to include Word, Excel, PowerPoint, and Outlook
  • Bachelor's Degree in Accounting, Finance or Business Administration. MBA degree
  • Be willing and able to travel globally, at short notice. Travel likely to be 50%+ and occasionally over weeks, with flexibility of working week required
10

VP-risk Management Resume Examples & Samples

  • Negotiate terms and conditions for transactions and works with cross functional teams to ensure appropriate documentation
  • Prepare risk assessments and present senior management with a clear and consistent approach to mitigate political, legal, regulatory, and other risks
  • Travel required approx. 40%
  • Bachelor's Degree with 6+ years’ experience in underwriting & Risk portfolio management
11

VP Risk Management Resume Examples & Samples

  • Lead for risk in the underwriting and approval of new credit requests, credit line renewals for existing customers, and ongoing monitoring of the current Asia portfolio
  • Prepare risk assessments and presents senior management with a clear and consistent approach to mitigate political, legal, regulatory, and other risks
  • Travel required approx. 50%
  • Masters or Bachelor's Degree in Accounting, Finance or Business Administration
  • Must have additional 6+ years’ experience in underwriting & Risk portfolio management
  • Knowledge of commercial lease and / or loan transactions and financial statement analysis
  • Proficient us of Microsoft Office Suite to include Word, Excel, PowerPoint, and Outlook
  • Applicant must have unrestricted authorization to work in Singapore
  • Applicant must be willing to comply with pre-employment screening, including but not limited to drug testing, reference verification and background check
12

VP Risk Management, Private Banking Resume Examples & Samples

  • Produce and continually develop consolidated risk reporting used by Risk Management Committee and Board of Directors, including monitoring the CS UK Ltd risk appetite against agreed risk limits. Work with the platform to make sure that data delivered is fit for purpose
  • Liaise with Shared Service functions around risk identification and management, co-ordinating reporting of risks
  • Provide analysis and commentary on risk reporting including aggregation and correlations of risk
  • Responsible for management of the Risk Committee agenda items, deck preparation, preparation of focus topics and actions tracking. Other governance forums which you will be required to contribute to include Operational Risk & Compliance Committee, Credit Risk Committee, ALM CARMC
  • Support the Head of ERM in monitoring the risk governance, risk management framework and embedding the risk appetite in the business and developing it as changes are required
  • Assist the Head of ERM in advising the business on whether the risks inherent in its business strategy are consistent with its risk appetite and tolerance is consistent and in line with the Group’s strategy and risk appetite / tolerance
  • Working with FLDS to monitor and assess risk undertaken by the business
  • Support and challenge FLDS in the identification of the risks of CSUK and assessment of controls as part of the annual Risk and Control Self-Assessment
  • Provide risk oversight and challenge, with particular focus on the operational risks of the business. Conduct operational risk desk deep dives and report on the design and effectiveness of the operational risk management control environment
  • Improve ongoing risk environment with the execution of robust independent
  • The successful candidate will be part of the CS UK CRO effort to ensure all teams/functions adhere to stated policies, procedures and risk framework while not having any direct control over teams
  • The role does not have any direct reports or peers and therefore carries considerable personal responsibility
  • The role regularly requires the balancing several responsibilities simultaneously
13

VP, Risk Management Resume Examples & Samples

  • Formulate, procure, implement and oversee global insurance policies and procedures
  • Review renewal insurance policies and compare various methods/costs of coverage
  • Serve as liaison to brokers, carriers, third-party administrators and other risk partners
  • Provide consultative services to the Live Nation divisions on risk and insurance
  • Develop strategies to minimize corporate and operating risk exposures, maximize risk transfer solutions
  • Serve as advisor to the businesses on contract insurance and indemnification language
  • Provide guidance, review and oversight of Certificate of Insurance protocol
  • Record, investigate, manage and resolve claims with TPAs and in-house and external legal counsel
  • Report costs, exposures, claims and other function statistics to senior management
  • Prepare department budgets and forecasts; track enterprise cost of risk
  • Oversee the actuarial reporting and analysis, and provide financial reserve data to Accounting
  • Minimum 15 years of experience buying and managing commercial insurance programs with a large, global corporation required, preferably as an insured
  • Live event/entertainment/hospitality/similar industry a plus; multi-site experience required
  • Claims management experience including oversight of TPAs and defense counsel
  • Strong experience in contract review and analysis, especially insurance and indemnification language
  • Knowledge of accounting and financial planning along with an understanding of financial statements and their relationship to insurance and risk required
  • Understanding of legal entity structures and corporation organization
  • College degree in business/finance, risk/insurance management or technical discipline required
  • Insurance certification(s) such as ARM or CPCU highly desired
  • Excellent skills in Excel, Word and PowerPoint required
  • Superior quantitative and analytical skills; ability to interpret and synthesize broad data sets
  • Strong communication skills with ability to be diplomatic and persuasive to a variety of constituents
  • Excellent negotiation skills with brokers, carriers, vendors, attorneys and internal stakeholders
  • Cooperative, collaborative style
14

Senior VP Risk Management Resume Examples & Samples

  • In addition to the above job description, the Corporate Business Unit also utilizes this Band D Director – Credit Policy/Risk position in an Independent Review Function
  • Participate in work streams on Methodology and Policy to define approaches
  • Drive research and development on open methodology items related to the project
  • Train and develop the modelling team with required knowledge and skills
  • Lead Model methodology working group
  • Drive the work of a large team of Junior and Senior analytics professionals and be responsible for their development in both technical and critical thinking skills
  • Ten years proven credit policy and/or credit risk management/analytics experience, or equivalent. Strong knowledge and understanding of financial services preferred
  • Bachelor’s degree in mathematics, statistics, finance, economics, related field or equivalent experience; Masters Degree preferred
15

VP Risk Management, Ifrs Resume Examples & Samples

  • IFRS 9 is a regulatory project with an objective to implement the new accounting standard related to impairment allowance calculations on an expected loss basis
  • This role will lead IFRS9 methodology development for retail portfolios. This is a critical first step in the process where the regulatory/accounting guidance is understood and interpreted to convert to modelling decisions that can be implemented for all global HSBC retail portfolios
  • The role needs to have extensive experience with impairment allowance modelling and related processes
  • The role should also have a good understanding of the accounting rules pertaining to impairment allowance
  • The role needs to be comfortable to guide the model development team with technical details on methodology
  • The role will interact with various stakeholders in Group and Regions to ensure socialization of methodology related topics in clear and concise manners to audiences with varying levels of modelling expertise
  • The role will actively participate in all reviews on IFRS9 methodology
  • 1. Provide Thought leadership on methodology
  • Manage Senior stakeholders from various functions at Group and Regions
  • Participate in worksteams on Methodology and Policy to define approaches
  • Define standards and templates to be used in development process
  • Support IMR Review and remediate findings
  • Support model implementation to group solution
  • Partner with other teams such as Accounting, Modelling, Stress Testing etc. on key methodology decisions
  • Lead Development of Gen2 IFRS9 Models
  • Eight years proven credit policy and/or credit risk management/analytics experience, or equivalent. Strong knowledge and understanding of financial services preferred
  • Strong management, interpersonal, organizational, analytical, problem-solving, project management and verbal and written communication skills
16

VP Risk Management Resume Examples & Samples

  • Lead for risk in the underwriting and approval of new credit requests, credit line renewals for existing customers, and on-going monitoring of the current portfolio with specific focus on customers in Europe and Canada
  • Prepare and review deal papers which will be presented to senior management for approval of a variety of operating lease, purchase lease back and restructuring transactions
  • Proactively determine portfolio threats, and manage problem and delinquent accounts on a portfolio basis
  • Bachelor's Degree with proven years of credit analysis experience in commercial lending or investment businesses or equivalent knowledge and experience
  • Be willing and able to travel globally, at short notice. Travel likely to be up to 50% of time over certain periods and occasionally over weeks, with flexibility of working week required
  • Experience with the aviation leasing & finance business would be a strong advantage
17

VP, Risk Management Resume Examples & Samples

  • BS in related field with at least 10 years of insurance underwriting, claims and industry experience
  • Experience as a corporate risk manager directly involved in the purchase of insurance coverages
  • Extensive knowledge of and experience in the commercial insurance markets and captives
  • Exhibits business process knowledge, possesses a broad based operational perspective and provides solutions for insurance and non-insurance related business risk issues
  • Extensive knowledge of and experience in the commercial insurance markets
  • Knowledge of risk management governance and controls
  • Recognized risk leader, who is a dynamic, proactive and decisive and exhibits good judgment
  • ARM, CPCU, FLMI or CLU or other insurance designations a plus
  • Requires limited travel up to 5%. Some of the travel is international
18

VP, Risk Management Resume Examples & Samples

  • Manage FEG’s Production Risk and Insurance Programs. This includes, but is not limited to, negotiation, evaluation, on-going management, and administration of FEG’s Production Policies, Property and Casualty, Foreign, Professional/E&O and Workers’ Compensation
  • Coordinate with internal stakeholders on the reporting and processing of claims
  • Participate in claim settlement negotiations and make recommendations regarding the adjustment and settlement of production and international liability claims
  • Develop and explain risk management policy and procedures to our internal customers
  • Review and analyze various types of contracts & leases
  • Negotiate with insurance companies and brokers with respect to premiums, terms and conditions, renewals, and modifications of insurance programs
  • Identify property and casualty loss exposures and work with brokers and insurers on appropriate levels of insurance coverage
  • Work with third party claims administrators and select & utilize specialized consultants
  • Handle complex issues associated with risk identification and treatment, insurance coverage analysis, emerging risks and business issues and how they are to be addressed
  • Prepare loss analyses and budgets (including business unit allocations for all lines of coverage)
  • Manage a staff of six people providing appropriate feedback and development throughout the year
  • Communicate with all levels of FEG and 21CF internal stakeholders including finance, legal, HR, etc.; and external customers including consultants, brokers, attorneys, insurance adjusters, insurance underwriters and other service providers
  • The FEG Risk Manager will coordinate with the Global Risk Manager on all matters pertaining to the FEG and Twenty-First Century Fox master programs
  • Bachelor’s degree preferred in accounting, finance, management or business related degree
  • 10-15 years of risk management experience in Corporate/Entertainment Risk Management or commercial insurance brokerage
  • CPCU, ARM, or similar designations are a plus
  • Excellent communication, analytical, and organization skills
  • Ability to effectively foster teamwork and build collaboration
  • Possess strong project management skills, interpersonal skills, and the ability to prioritize and multi-task as needed
  • Strong computer skills with working knowledge of Word, Excel, PowerPoint, Outlook
  • Additional experience with Risk Management Information Systems, PeopleSoft, and RisxFax preferred,
19

VP, Risk Management Resume Examples & Samples

  • Leads segment level performance reviews around the general account global Asset Intensive products. This involves quantifying exposures at the treaty level and aggregating at the segment level
  • Responsible for asset-liability management, with primary focus on the global Asset Intensive line of business, through membership in the business unit and Corporate ALM committees. Recommends changes in risk profiles or altering cash flows to provide stabilized earnings for the segment
  • Part of Segment Risk Management Leadership Team responsible for all aspects of in-force treaties: projecting performance, recommending and assisting with the execution of adverse performance mitigation strategies, reflecting aggregate exposures company-wide in providing recommendations, setting standards for reviews, and improving performance of In-force blocks
  • Develops and recommends risk mitigating strategies in a partnership with Investment Management
  • Leads team in detailed reviews of individual existing treaties and evaluates risks in new Asset Intensive treaties
  • Interacts with Finance and Valuation functions on: quarterly valuation, financial close process, annual analyses, and forecasting activity. Key leader in developing and monitoring business segment profitability measures
  • Performs management duties including, but not limited to: hiring, training, evaluating, coaching, and developing direct reports. Fosters a positive and engaging work environment. Mentors associates and gives guidance on associate development
  • Works to ensure that the risks for all assigned deals have been modeled in a reasonable, accurate, and repeatable manner
  • Fosters positive relationships with key stakeholders (marketing partners, clients, corporate departments)
  • 10+ years of experience in life insurance and/or reinsurance, 5+ in general account ALM
  • 5-7+ years of supervisory experience
  • Professional accreditation as appropriate for background (ex.s: CFA, CERA, PRM, ASA)
  • Strong written and verbal communication skills. Ability to translate technical subjects into business explanations with multiple alternative action steps
  • Proactive Risk Management mind set
  • Robust project management skills applied at the department, function, business segment, and company-wide levels
  • Demonstrates ability to understand business strategy and execute functional tactics leading to business accomplishments
  • Sound understanding of capital markets including yield curve generation, valuation of interest rate derivative instruments, and modeling techniques applying capital markets theories
  • Expert knowledge of life, annuity products and ability to model various insurance products and reinsurance structures
  • Highly advanced people management skills, demonstrating an ability to lead, mentor and develop associates
  • Exceptional ability to liaise with individuals across a wide variety of operational, functional and technical disciplines. As well as across business segments and time zones
  • Ability to work independently and to work well within a team environment and to participate as a leader in department projects
  • Advanced PC and technical skills, including spreadsheets and actuarial software
  • Advanced ability to balance detail with departmental goals/objectives
20

VP Risk Management Services Resume Examples & Samples

  • Effective risk financing
  • Effective insurance coverage for all locations
  • Captive management
  • Commercial insurance coverage
  • Develop strategy for the claims program to include oversight of defense preparation activities of the insurance captive, any third party administrator and defense counsel
  • Risk analytics and reporting
  • Provide predictive analysis of risk themes, industry benchmarks, etc
  • Risk assessments for existing ministries and potential affiliates; and
  • Provision of risk management tools and skills education for appropriate levels of leaders
  • Assure continuous readiness systems and structures are in place to provide for critical event response and investigation in coordinator with key stakeholders
  • Collaborates with legal and compliance key stakeholders to assist in mitigation of risk
  • Exposure. Strategically participates in positioning PSJH with regional, state and national stakeholders related to risk services and organization’s success
  • Supports, manages and communicates actions of the insurance captives
  • Collaborate with the clinical functions to facilitate ongoing development of patient safety strategic plan with a focus on development of a safety culture including transparency and organizational learning
  • BS degree in business administration or related field, or an equivalent combination of education and/or experience
  • 10 + years Senior/Executive experience in Risk Management
  • Captive Insurance Risk experience required
  • Risk Financing experience required
  • At least one of the following certifications: ARM; CPHRM; DFASHRM;CPCU
  • Experience / Exposure in Insurance Enterprise Risk Management (ERM)
  • Juris Doctor and/or Masters Degree
  • Healthcare experience
  • Claims Litigation experience
  • Clinical Risk Experience
21

VP, Risk Management Resume Examples & Samples

  • A bachelor’s degree is required. An advanced degree is preferred
  • A minimum of five to seven years of health care risk management experience is required
  • Certification in risk management or a related field is preferred
  • The ability to analyze and apply claim data and other information to improve safety and address risk
  • The ability to develop and maintain strong professional relationships—especially with leaders assigned responsibility for addressing specific risks
  • Must ascribe to and represent Catholic Religious Ethics, Values, and Principles as they relate to the practice of Catholic health care
22

VP-risk Management Resume Examples & Samples

  • Managing the Operations Division Asia Business Continuity Planning department and continually improving the resiliency of the teams to react to events, including real time incident management
  • 10+ years of experience in financial services industry, Operations roles and/or business/budget management functions. Investment Management knowledge a plus
  • Excellent oral, written, communication and presentation skills with ability to tailor message to audience or varying levels
  • Management experience leading global team/comfortable with matrix based reporting lines
  • Good analytical skills, able to extract key information and pre-empt management questions on the data presented
  • Ability to analyze data and craft a risk story that will aid in overall risk mitigation for firm operations
  • Excellent communication skills at all levels and strong organizational ability
  • Strong presentation skills and confidence to host meetings
  • Strong relationship management skills and ability to influence others
  • Ability to understand issues and move projects forward
23

VP Risk Management Resume Examples & Samples

  • Develop and implement risk management strategies on existing DM Commercial Loan portfolio that are aligned with Global Commercial, Small Business and DM Credit Programs, and Commercial Risk policies
  • Perform proactive analytics which assess and support portfolio strategies, such as Early Warning, and identify emerging risks
  • Liaise with Small Business Product and Sales teams to develop and implement portfolio growth strategies
  • Prepare ad hoc reports on credit quality and trends
  • Coordinate with key partners including Product, Underwriting, Early Warning/Portfolio Management, Remedial, and Collections to assure consistency is applied in risk strategies and application
  • Liaise with key second and third line of defense partners to advance and support their oversight roles
  • Remediate CAPs aligned to this role
  • Bachelor’s degree in Business or Finance required
  • Minimum of 5 years of experience in the Financial Services industry
  • Proven interpersonal skills including team or project management, and communicating at all levels of the organization
  • Knowledge of the DM and Small Business products and operations
  • Understanding of Citibank systems such as various data warehouses, AFS, CMOS, IMPACS, and Loan Path
  • Advanced proficiency in MS Office products, particularly Microsoft Excel
24

VP, Risk Management Resume Examples & Samples

  • Collaborate as a member of CAHEC’s Management Team in the creation of overarching annual corporate goals and three-year objectives
  • Lead the day to day operations of the Risk Management department including direct supervision, training, and coaching of assigned staff
  • Demonstrate and support a culture of candor and transparency by fostering ideas, solution based thinking, fairness, and best practices
  • Establish credit underwriting policies and procedures and update as market conditions warrant for proprietary and multi-investor funds
  • Represent Risk Management and actively participate throughout CAHEC’s investment approval process
  • Serve as final quality control on development budgets, investment pro formas, and other project underwriting reports
  • Supervise the construction underwriting process from investment closing until final equity pay
  • Supervise the post-closing equity funding process including the approval of funding recommendations
  • Establish and maintain relationships with developers, investors, allocating agency staff, third-party professionals, and other participants in the affordable housing industry throughout the CAHEC’s geographic area of operations
  • A proven ability in supervising complex underwriting processes
  • Advanced knowledge of commercial real estate development, construction, and corporate and partnership legal and taxation issues
  • Advanced knowledge of financial management principles related to multi-family housing and LIHTC Program including Section 42 of the IRC and the ability to expand and effectively apply this knowledge to CAHEC’s investment portfolio
  • Proven abilities in supervising direct reports including conducting performance management
  • The ability to formulate, document, and implement formal policies and procedures
25

VP, Risk Management Resume Examples & Samples

  • This position should directly manage at least two professionals
  • Additional responsibilities that this position may have within specific HSBC business units
  • Provide regular tracking reports to business units regarding data related expenses
  • Seven years proven credit policy and/or credit risk management experience, or equivalent. Knowledge and understanding of financial services preferred
  • Strong management, interpersonal, organizational, analytical, problem-solving, negotiation, project management and verbal and written communication skills
26

VP Risk Management Resume Examples & Samples

  • 3) Provide a summary risk view of the organization, build in management level reporting to cascade up to the BOD report as appropriate
  • Ability to work across organizational lines and multiple functions/stakeholders in a collaborative manner using influencing and persuasion skills
  • Ability to work in a fast paced environment with minimum supervision and guidance and operating under tight delivery timelines
  • Ability to work and present to Executive Committee and Board Members
  • Bachelor’s degree in Finance, Business Administration, Economics, or similar area of focus
  • Knowledge of enterprise governance, risk, and compliance systems (e.g., Archer) and Microsoft office suite (e.g., excel, word and powerpoint)
  • 7-10 years of experience with risk management, Board Reporting lines of defense, QA/QC, internal audit, risk assessment methodology and strategy development
  • Prior experience driving large scale change int a large financial services organization
  • Prior team leadership experience