Manager- Portfolio Management

A leading retail bank is expanding its customer base and its business. They are looking to make the most of a growth period. Due to this, they are looking to hire a manager into the Portfolio Management and Account Management team. This is an outstanding opportunity to get involved in broad but fast paced risk management position.
Primary responsibilities of the role include
*Responsible for developing, evaluating and implementing credit risk strategies on existing customers
*Direct and assist the Credit Analysts in the development and implementation of new strategies, develop test plans and ensure all strategies have been successfully and accurately implemented.
*Lead, motivate and develop a team of analysts, setting standards for analytical excellence and ensuring these are embedded in a world-class team
Ideal candidates would have:

*A broad and deep experience in credit risk issues, techniques and frameworks is required, as is experience in modelling and a range of analysis techniques such as forecasting, segmentation, and statistical models.
*Displays an in-depth understanding all aspects of retail credit risk, markets, instruments and leading approaches
*Clearly and confidently communicates on complex techniques and strategies. Uses knowledge in these areas to the Bank's

Relevant individuals are encouraged to get in touch as soon as possible by applying with a full CV or contacting the details provided directly. Please note that these opportunities are based in London, and only individuals with full rights to work in the UK will be considered
Goodman Masson is acting as an Employment Agency in relation to this vacancy.

Goodman Masson is an equal opportunities employer.

September 28, 2012 • Posted in: General

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