- Fannie Mae (Washington, DC)
- …and provide risk mitigation assistance to other groups. *THE IMPACT YOU WILL MAKE* The Book Portfolio Credit Risk Analyst - Associate role will offer ... area (eg quantitative finance, economics, statistics, etc.) preferred. * Understand credit risk as well as experience analyzing portfolio characteristics,… more
- Morgan Stanley (Baltimore, MD)
- …of new and/or exotic trades. > Monitor market risks through the review of portfolio risk sensitivities, Value-at- risk (VaR), stress scenario analysis and ... Firm Risk Management Firm Risk Management (FRM)...Firm from exposure to losses as a result of credit , market, liquidity, model and other risks. Background on… more
- PNC (Baltimore, MD)
- …+ As defined with the business, demonstrates ability to analyze, evaluate and mitigate credit risk by utilizing knowledge of credit fundamentals and internal ... develop the skills needed to analyze, evaluate and mitigate credit risk by utilizing knowledge of ...needed to be successful in this position. **Preferred Skills** Book Of Business, Client Relations, Credit , … more
- PNC (Vienna, VA)
- …+ As defined with the business, demonstrates ability to analyze, evaluate and mitigate credit risk by utilizing knowledge of credit fundamentals and internal ... the origination, financial analysis, negotiation and documentation of credit and non- credit products and services. + Manages risk /return and drives quality… more
- Citigroup (Washington, DC)
- …and services that fit their needs and grow both the balance and revenue of your portfolio + Manage credit requests up to $1MM, and work closely with Sr. BRMs ... opportunities in an assigned Area, growing and retaining a book of business, and ensuring a world-class customer experience...to deepen client relationships. + Work closely with the credit / risk team and Branches to facilitate loan… more
- Truist (Baltimore, MD)
- …knowledge, risk identification and mitigation, all in accordance with the Truist credit risk appetite. Focus on driving continual improvement in portfolio ... III) should be differentiated based on years of commercial banking experience, portfolio size, and overall potential in the role per leadership discretion.… more