THE TEAM YOU WILL BE JOINING:
- A 2022 Forbes World's Best Bank with over 130 years of making an impact in the financial services industry.
- Their financial technology offers financing options for practically any purpose with best-in-class customer satisfaction.
- Purpose-driven and team-oriented environment with focuses on leveraging employee talents, cutting edge technology, and best practices and processes.
- Committed to diversity and accessibility for all
- Results driven organization that values accountability and continuous improvement.
- Ability to influence the development of new digital products and contribute to long-term strategy and growth.
- Competitive base salary plus excellent benefits to include annual bonus, medical, dental, 401k, and generous PTO policy.
- Manages and monitors a portfolio of client credit exposures, across industry classes, on an ongoing basis
- Underwrites credit requests including new renewals and modifications as the credit expert within the first line of defense.
- Recommends credit structures and provides effective challenge while ensuring quality and profitability of assigned portfolio.
- Ensures adherence to the Wholesale risk philosophy, risk appetite and lending strategies.
- Serves as an additional point of client contact, maintaining a high level of client responsiveness.
- Navigates a wide variety of financial structures, credit scenarios and financial analysis situations.
- Communicates risk and return with Wholesale banker partners.
- Collaborate with bankers on loan closings to ensure proper documentation of new and amended deals as well as waivers and modifications.
- Works closely with and provides guidance to Wholesale Credit Risk Analysts, serving as lead regarding client servicing activities to proactively identify and mitigate credit risk.
- Bachelor's Degree in Business Administration, Finance, Accounting or related discipline or a combination of education and experience
- 3+ years of experience as a Wholesale Credit Risk Manager II; or 6+ years of credit analysis or commercial banking experience including experience in one of the following sectors: corporate banking, middle market or CRE.
- Strong understanding of risk management and credit mitigants Knowledge risk ratings analysis, corporate finance and/or research
- Strong analytical and financial modeling ability
- Strong client service skills
- Familiarity with Moody's analytics
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