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Credit Risk Model Monitoring Manager Jobs

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Senior Credit Risk Analyst
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Brazil , São Paulo
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Citi
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Senior Business Analyst
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Mexico , Mexico City
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Jeeves
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Credit Analyst
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Mexico , Mexico City
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Business Analyst
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Colombia , Bogotá
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Jeeves
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Treasury Manager
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United States , New York
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105000.00 - 190000.00 USD / Year
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Creandum
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Commercial Real Estate Underwriter
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India , Mumbai
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Citi
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Real Estate Underwriter
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India , Mumbai
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Citi
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Real Estate Underwriting
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India , Mumbai
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Citi
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Commercial Real Estate Underwriter
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United Kingdom , London
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Citi
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Markets Financial Planning & Analysis, Senior Vice President
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India , Mumbai
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Citi
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Commercial Real Estate Underwriter
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Hong Kong , Hong Kong
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Citi
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Leverage Finance Underwriter
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United Kingdom , London
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Corporate Banking Program Analyst
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United States , Houston
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100000.00 USD / Year
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Wells Fargo
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Global Relationship Manager
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United States , Denver
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150000.00 - 160000.00 USD / Year
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HSBC
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Mid-Corp Relationship Manager
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China , Shenzhen; Shanghai
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Market Risk Officer
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Brazil , São Paulo
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Citi
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Senior Financial Analyst
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United States , Hollywood, California
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Robert Half
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Senior Financial Analyst
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United States , Hollywood
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Robert Half
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In Business QA Credit Underwriting - Data Analytics - (AVP)
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India , Mumbai
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Citi
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Analyst, ICM - Infrastructure Finance and Clean Energy Finance Underwriting
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India , Mumbai
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Pursue a pivotal leadership role at the intersection of finance, data science, and strategic oversight by exploring Credit Risk Model Monitoring Manager jobs. This high-impact profession sits at the core of a financial institution's stability, responsible for ensuring the ongoing health, accuracy, and predictive power of the models that govern lending and credit decisions. Professionals in this field act as the guardians of a bank's risk framework, leading teams that systematically validate and challenge the complex mathematical models used to quantify potential losses. For those with a blend of deep analytical expertise and strong management skills, these jobs offer a critical function that directly influences a company's financial resilience and regulatory compliance. A Credit Risk Model Monitoring Manager typically oversees a team of quantitative analysts or data scientists. Their primary mission is to establish and run a robust model monitoring framework. This involves the continuous and periodic tracking of model performance against established benchmarks and key performance indicators (KPIs). Common responsibilities include designing and executing back-testing, benchmarking, and sensitivity analyses to verify that models are behaving as expected in real-world conditions. When models show signs of performance degradation or "model drift," the manager is tasked with diagnosing the root cause, which could be due to changing economic conditions, shifts in portfolio composition, or fundamental changes in consumer behavior. They then lead the effort to recommend and implement remediation plans, which may include model recalibration or the development of enhanced monitoring tools. The role demands a specific and advanced skill set. Technical proficiency is non-negotiable; managers must be highly adept in statistical programming languages and tools such as SAS, Python, R, and SQL for data extraction, manipulation, and analysis. A strong foundation in quantitative disciplines like statistics, econometrics, and predictive modeling is essential to understand the theoretical underpinnings of the models they oversee. Beyond the numbers, exceptional communication and diplomacy skills are crucial. A significant part of the job involves translating complex, technical findings into clear, actionable insights and comprehensive reports for non-technical stakeholders, including senior management and regulatory examiners. Furthermore, these jobs require proven leadership capabilities, including team motivation, professional development, performance management, and project management to handle multiple concurrent validation and monitoring projects. Typical requirements for Credit Risk Model Monitoring Manager jobs often include an advanced degree (Master's or PhD) in a quantitative field like Finance, Statistics, Economics, or Mathematics, coupled with several years of progressive experience in model validation, development, or risk management within a banking or financial services environment. The profession offers a challenging and rewarding career path for those who thrive on ensuring integrity in financial systems, providing a strategic vantage point that is vital to the soundness of modern financial institutions. If you are a results-driven leader passionate about data-driven risk management, exploring Credit Risk Model Monitoring Manager jobs could be your next career step.

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