Portfolio Risk Management Specialist

4 weeks ago


Atlanta, Georgia, United States Federal Home Loan Bank of Atlanta Full time
Job Summary:

As a Portfolio Risk Management Specialist at Federal Home Loan Bank of Atlanta, you will be responsible for directing the compliance, monitoring, asset management, loss mitigation, and reporting activities of the Bank's Community Investment Services portfolio. This includes managing the development, maintenance, and execution of sound Community Investment Services portfolio compliance management functions as defined by applicable federal regulation.

Key Responsibilities:

Develop and execute asset management best practices to ensure a healthy Community Investment Services portfolio.
Develop and execute portfolio risk and loss mitigation strategies and tactics, and ensure communication and documentation of results.
Manage the resolution of portfolio deficiencies and the recapture and repayment of funds.
Manage the analysis, evaluation, and reporting of the Bank's portfolio exposure.
Create and oversee the preparation of analytics needed to evaluate portfolio trends and risk exposures, and proactively detect early warning signs of deteriorating portfolio trends.

Requirements:

A bachelor's degree and 5 to 8 years' experience in residential real estate loan asset management or loan portfolio management, including at least five years of management experience, or the equivalent combination of education and experience is necessary. Excellent written and oral presentation skills, strong customer relation skills, and the ability to identify and resolve complex problems are also required.

Work Environment:

This position is onsite with an opportunity to work remote partially. We are an equal opportunity employer committed to diversity, equity, and inclusion in the workplace.

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