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Credit Risk Manager
2 months ago
Credit Risk Matrix Manager of Counterparty Credit Risk Jersey City, NJ
As members of the Risk Management department we identify, manage, measure, and mitigate a spectrum of key risk types. Although team members are located in five different countries, we have one universal goal –to protect the safety and soundness of our systems. Always having the client experience top of mind.
What We Offer
Credit and Systemic Risk Management department is an innovative team that assesses the credit worthiness of a portfolio consisting of banks, broker-dealers, and other financial institutions in support of the Counterparty Credit Risk team. We are thought partners and advisors to the business, go-getters, and change agents who have a passion for securing products, activities, processes and systems.
Our Ideal Candidate
So, what does it take to be a Credit Risk Matrix Manager?
The Credit Risk Matrix Manager of Counterparty Credit Risk is responsible for oversight, maintenance, and enhancement of the Credit Risk Rating Matrix (CRRM).
Oversee the full recalibration of the credit rating risk matrix regularly
Maintain a tracking log of suggested improvements to the CRRM model, based on feedback from counterparty credit risk team, model validation and control, and quantitative risk management, as well as research on industry best practices
Conduct research to benchmark CRRM vs. other rating tools, including external rating agencies, firms that aggregate credit ratings, and other relevant sources. Act as a point person on negotiations with any potential vendors that could assist with benchmarking.
Conduct training and oversee ongoing enhancement to guidance for qualitative factor assessments, including adding quantitative factors for guidance, with the goal of improving consistency of assessments across firms and analysts, and over time
Compile Portfolio Reviews of DTCC member firms, which provide a high-level overview of the population of members.
QualificationsCandidates should possess:
Minimum of 7 years of related experience
Bachelor's degree with master's or equivalent experience preferred
Understanding of the regulatory financial reporting required for broker/dealers and bank such as FOCUS
About job
Compensation:View SalaryJob type:Direct hireJob function:FinanceIndustry:Financial ServicesExperience level:Mid-seniorEducation level:Bachelor’s degreeJob classification:First/Mid-Level Officials and ManagersLocation:Jersey City, NJZip code:07310Skills:Credit Risk, financial reporting, global market risksExperience required:7 YearsRelocation assistance:NoVisa requirement:Only US citizens and Greencard holders
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