Senior Manager, Commercial Risk Management Foreign Exchange & Commercial Credit Risk


: $145,180.00 - $145,180.00 /year *

Employment Type

: Full-Time


: Non-Executive Management

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Essential Job Functions:

  • Manage the credit risk strategy for FXIP and other business lending products, which includes targeting, underwriting, capacity, loan terms, and product enhancements.
  • Review and improve risk management policies, tools and capabilities.
  • Monitor and analyze portfolio performance.
  • Analyze credit and fraud losses, recommend strategies for loss prevention and report on all aspects of FX portfolio. and recommend strategies for loss prevention and growth optimization
  • Drive in-depth analytics and collaborate with the Decision Science team to enhance economic logic that supports core risk management decisions


  • Credit risk management experience with an in-depth understanding of the end-to-end credit lifecycle, credit metrics and processes, and P&L drivers of small businesses
  • Analytical skills.
  • Experience with SAS, SQL, Python, and translating data insights to strategies
  • Experience with managing Credit and Fraud risk for FX related products is preferred

Keywords: SAS, SQL, Python, Credit Risk, FX, Credit & Fraud, Analytics

Refer to Job #23636 and send MS Word attached resume to Mark Santiccioli, ?For More Opportunities, visit

* The salary listed in the header is an estimate based on salary data for similar jobs in the same area. Salary or compensation data found in the job description is accurate.

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