Contact Arjaree about this job
Find a Job
|Sector||Credit & Risk Management|
World leading Bank seeking Strategy & Portfolio Management VP to join their Global Risk team, covering Retail Banking operations. Based in London
Management of credit risk, credit practices and portfolio quality across the Banks retail banking operations
Provide inputs in the setting of Credit Risk Appetite at a global and regional level, so that credit risk appetite aligns with group strategy, and that portfolios are managed to achieve risk and loss levels within the risk appetite parameters.
Evaluate and challenge regional and country credit risk management decisions, portfolio quality and practices.
Develop and deploy the strategic approaches to improve the management of credit risk, through a focus on key levers in the credit process such as acquisition and account management strategies, pricing & profitability models, forecasting and provisioning, collections and recoveries strategy, and analytic approaches.
Experience / Qualifications
Excellent knowledge of Retail Banking, acquisition risk, account management, and collections strategies
Strong numeracy and analytical skills (business performance, market & competitive dynamics).
Extensive experience in managing Retail portfolios and the organisations, policy and reporting that is used to manage such portfolios. Exposure to portfolios outside of a single country is preferable.
Experience of the development and deployment of credit and/ or collections strategy and the delivery of strategic projects in a large organisation.
Strong knowledge and use of analytics and modelling, and a proven track record of strengthening risk management capabilities in a portfolio or business
Recognised numerate University Degree (or equivalent)
For applications or enquiries, please email Arjaree.Shackleton@BruinFinancial.com
Ready to apply for this job? Apply Now