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Credit Risk Assessment Manager
2 months ago
The Credit Risk Assessment Manager will play a pivotal role in our organization, engaging in various initiatives within the Enterprise Risk Management (ERM) Credit & Market Risk Team. This position emphasizes the analysis and monitoring of counterparty risk, particularly focusing on our banking and trading partners.
Key Responsibilities:
1. Conduct comprehensive credit evaluations and ongoing monitoring of counterparties, including banks and third-party suppliers, while effectively communicating identified risks to senior leadership.
2. Oversee the counterparty approval process for banking, trading, and brokerage entities associated with our insurance portfolio.
3. Develop and implement risk measurement, aggregation, and oversight of pertinent exposure risk metrics and analytics, including involvement in stress testing scenarios.
4. Collaborate with various business lines and investment functions to manage critical credit risks.
5. Report and convey risks to CMR team leaders and essential business stakeholders as necessary.
6. Facilitate regular discussions with portfolio managers, credit analysts, and performance teams to strengthen risk management strategies.
7. Enhance the surveillance and approval framework and processes.
8. Monitor compliance with established limits and maintain the Letter of Credit counterparty watch list, making recommendations for updates.
9. Prepare detailed reports and presentations for relevant risk committees and senior management.
Qualifications:
• A minimum of eight years of professional experience in credit analysis, counterparty risk management, or finance within financial services.
• Exceptional interpersonal and communication skills to foster strong relationships with senior management and cross-functional teams.
• Strong analytical skills with at least five years of experience in fundamental credit analysis.
• Ability to work autonomously and maintain organization in a fast-paced environment.
• Proficient in data management tools, including Excel, VBA, and PowerPoint.
• A bachelor's degree in a quantitative field such as Finance, Economics, Mathematics, or a related discipline is preferred.
• An advanced degree, such as an MBA or a Master's in Finance, or professional designations like CFA or FRM, is advantageous.
About The Hartford:
The Hartford is a leading provider of property and casualty insurance, group benefits, and investment products, with a commitment to sustainable business practices. We strive to address the environmental, social, and economic needs of our stakeholders.
Join us in our mission to empower individuals and businesses to achieve their goals while making a positive impact in our communities.