Base: $63,300.00 - $117,200.00; bonus/equity: may ...
Hybrid
High-risk credit portfolio management
Complex credit transaction analysis
Risk mitigation strategy development
The role delivers an exceptional customer experience by managing a defined portfolio of high-risk borrowing accounts to reduce loss exposure
Job Summary
The role delivers an exceptional customer experience by managing a defined portfolio of high-risk borrowing accounts to reduce loss exposure.
Candidates will advise internal and external stakeholders on complex credit transactions while ensuring compliance with bank policies and procedures.
The position offers a competitive salary range, comprehensive health benefits, tuition reimbursement, and retirement savings plans within a hybrid work model.
Matching Summary
The role delivers an exceptional customer experience by managing a defined portfolio of high-risk borrowing accounts to reduce loss exposure.
Salary
Base: $63,300.00 - $117,200.00; Bonus/Equity: May include commission structure and discretionary bonuses; Benefits: Health insurance, tuition reimbursement, accident/life insurance, retirement savings plans
Skills & Requirements
Must-have
High-risk credit portfolio management
Complex credit transaction analysis
Risk mitigation strategy development
Financial and risk performance monitoring
Stakeholder relationship building
Nice-to-have
Data-driven decision making skills
Strategic initiative execution
Cross-functional collaboration abilities
In-depth knowledge of lending regulations
Ability to coach sales employees on risk
Key Requirements
4-6 years of relevant experience
Post-secondary degree in related field
In-depth knowledge of banking products
Proficiency in credit portfolio management policies