The SVP, Portfolio Management implements the company's governance and monitoring strategies to effectively manage the credit, counterparty, and ESG risks associated with the mortgage portfolio and bank's balance sheet. Through monitoring, oversight, and strategic advice to senior leaders they ensure CENLAR operates within its risk appetite and credit-related limits, and within regulatory expectations. This position is responsible for credit risk reporting used throughout the company to identify and assess credit risks. The SVP, Portfolio Management strategically interacts with and influences first line of defense business officers to mitigate and manage credit-related risks, and with Enterprise Risk Management personnel in the development and oversight of the company-wide credit policies, and the Chief Growth Officer in the evaluation of credit-related risks for new business initiatives. The position monitors external and emerging risks, particularly around counterparties with whom we conduct business (e.g., subservicing clients and strategic suppliers), and benchmarks CENLAR's credit practices to deliver industry-leading performance amongst its benchmark peers. Finally, the SVP, Portfolio Management advises on Client and Agency strategies the business can execute to optimize credit performance.
Responsibilities:
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