Mortgage Portfolio Risk Management - Senior Vice President
Tasks
- Develop stochastic analytics for portfolio growth
- Drive risk appetite framework execution and evolution
- Ensure model and reporting accuracy
- Establish risk analytics standards and practices
- Lead and mentor quantitative analysis team
- Leverage programming tools for data analysis
- Manage stakeholder relationships across business functions
- Oversee credit risk analytics processes
- Perform trend analysis on risk drivers
- Support credit risk capital modeling
- Translate data into visual insights
Perks/Benefits
- N/A
Skills/Tech-stack
Data Analysis | Portfolio Management | Python | Quantitative Analysis | Risk Analytics | Risk appetite | Risk appetite framework | SAS | SQL | Stakeholder management | Stochastic Modeling | Tableau | Visual Storytelling
Education
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