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Manager, Credit Risk Management Jobs

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Deputy Head, Credit Risk Management
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Lead the credit risk function for a major financial institution in Richmond Hill. This senior role involves overseeing underwriting, portfolio strategy, and regulatory compliance. You will mentor a team and shape credit policy across diverse sectors like commercial real estate and energy. A minim...
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Canada , Richmond Hill
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150000.00 - 200000.00 CAD / Year
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Randstad
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Securities Quantitative Analytics Senior Manager - Head of Market Risk Analytics - Credit Products and XVA
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Lead the Market Risk Analytics team for Credit Products and XVA at Wells Fargo in Charlotte. This Executive Director role requires 7+ years of quantitative analytics experience and 3+ years in leadership. You will design, develop, and maintain sophisticated risk models using Python, C++, and Java...
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United States , Charlotte
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Not provided
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Wells Fargo
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Senior Managing Director, Credit Risk and Portfolio Analytics
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Lead enterprise credit risk and portfolio analytics for a leading consumer lender. This high-visibility role requires 15+ years in credit forecasting, CECL, and loss modeling to guide strategic decisions. You will shape risk governance and communicate insights to executive leadership and the Boar...
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United States , Wilmington
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Not provided
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OneMain Financial
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Audit Manager II - Credit Risk
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United States of America , New York
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92220.00 - 149310.00 USD / Year
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The Muse
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Senior Analyst, Credit Risk Management
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United States , Frisco
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141773.00 - 155000.00 USD / Year
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T-Mobile
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Credit Risk Manager
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Germany , Berlin
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Not provided
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N26
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Credit Risk & Transactional Services Manager
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United Kingdom , Crick
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City Plumbing
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Analyst - Credit Risk Management
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Join our London team as a Credit Risk Management Analyst. You will analyze UK Consumer and Small Business Card acquisitions, using SQL/Python to develop underwriting strategies. This hybrid role requires 1+ years of risk/data experience and strong analytical skills. We offer competitive compensat...
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United Kingdom , London
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Not provided
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Amex
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Campus Internship - Global Credit and Fraud Operations, Fraud Risk Management
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Join American Express in Kuala Lumpur for a Fraud Risk Management internship. Utilize your SQL and data visualization skills to analyze fraud strategies and identify process gaps. This role offers hands-on experience in a global operations team with a flexible hybrid model and strong career devel...
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Malaysia , Kuala Lumpur
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Not provided
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Amex
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Senior Manager, Credit Risk
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Shopify
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Analyst, Credit Risk Management
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Join our Credit Risk Management team in St Petersburg. This entry-level analyst role supports risk assessment, reporting, and process improvement. Ideal candidates have a Finance/Business degree, foundational risk knowledge, and strong analytical skills. Grow your career in a dynamic financial en...
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United States , St Petersburg
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Not provided
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Raymond James
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Portfolio Credit Risk Management 2nd Lod Lead Analyst, Vice President
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Seeking a Vice President to lead Portfolio Credit Risk Management oversight in Getzville. This 2nd Line of Defense role requires 6-10 years' expertise in challenging credit analysis, stress testing, and limit methodologies. You will ensure robust risk management, protecting financial stability wh...
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United States , Getzville
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92000.00 - 138000.00 USD / Year
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Citi
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Institutional Credit Management Underwriting Credit Risk Senior Analyst Vice President
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Join Citi's Institutional Credit Management team in Istanbul as a Vice President. You will conduct in-depth credit risk analysis for large corporate and financial institution clients. This senior role requires 9-10 years of wholesale credit experience and strong financial statement expertise. You...
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Turkey , Istanbul
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Citi
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Credit Risk Manager
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Seeking an experienced Credit Risk Manager in Cairo to oversee our credit assessment and portfolio management. You will develop risk policies, conduct financial analysis, and ensure regulatory compliance. The role requires a Finance/Statistics degree, 5+ years' experience, and strong analytical s...
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Egypt , Cairo
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Tawasoa Factoring
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Credit Risk Manager
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Join our Houston team as a Credit Risk Manager, specializing in natural gas and power trading. You will oversee commercial credit portfolios, conduct in-depth financial analysis, and manage counterparty risk. This role requires 8+ years of experience, deep industry knowledge, and strong analytica...
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United States , Houston
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Not provided
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Robert Half
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Credit Risk Operations Manager
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United States , San Francisco
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100000.00 - 150000.00 USD / Year
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Airwallex
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Director, Credit Risk Management
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United States , Frisco; Overland Park
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167900.00 - 227100.00 USD / Year
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T-Mobile
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Risk Management Country Officer & Wholesale Credit Risk
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Dominican Republic , Santo Domingo
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Not provided
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Citi
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Credit Risk Manager
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Join Real Wallet Capital as a Credit Risk Manager to build our credit risk engine from the ground up. You will own analytics, developing underwriting models and dashboards using SQL/Python. This data-driven role shapes risk policy and strategy for our innovative lending product. Enjoy benefits li...
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United States
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135000.00 - 150000.00 USD / Year
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Real Broker, LLC
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Credit Risk Analytics Manager
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Lead credit risk analytics for a global portfolio in Pune. Utilize SAS and UNIX for complex data analysis, reporting, and regulatory compliance. Mentor junior analysts while managing credit reviews and approvals. Requires 5+ years' experience and strong communication skills.
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India , Pune
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Not provided
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Citi
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A career as a Manager in Credit Risk Management represents a pivotal and high-impact leadership role within the financial services industry. Professionals in these jobs sit at the critical intersection of data analytics, financial strategy, and regulatory compliance, tasked with safeguarding an institution's assets while enabling prudent growth. This position is fundamentally about understanding, measuring, and mitigating the potential for financial loss arising from a borrower's failure to meet their obligations. For those seeking Manager, Credit Risk Management jobs, the role offers a dynamic blend of deep analytical rigor and strategic business influence. Typically, a Manager in this field leads a team or major function responsible for the end-to-end credit risk lifecycle. Common responsibilities include developing, validating, and monitoring sophisticated statistical models used to predict default probability, loss severity, and overall portfolio risk. They perform in-depth portfolio analysis to identify emerging trends, concentrations of risk, and opportunities for strategic segmentation. A core function is the establishment and governance of credit policies and underwriting strategies, ensuring they align with the organization's risk appetite and regulatory expectations. These professionals are also heavily involved in stress testing and scenario analysis, preparing the institution for potential economic downturns. Furthermore, they play a key liaison role, translating complex risk data into actionable insights and clear recommendations for senior management, business partners, and audit or regulatory bodies. The typical skill set required for these jobs is both broad and specialized. A strong quantitative foundation is non-negotiable, with proficiency in statistical analysis, data manipulation (using tools like SQL, SAS, R, or Python), and financial modeling. Expertise in Excel is a baseline, complemented by strong capabilities in data visualization and presentation software. Beyond technical acumen, successful managers possess exceptional communication and stakeholder management skills, able to articulate risk concepts to both technical and non-technical audiences. They demonstrate sharp business judgment, strategic thinking, and a proactive approach to problem-solving. Project management skills are essential for leading initiatives from conception through to implementation. Typical requirements for Manager, Credit Risk Management jobs usually include a bachelor’s or advanced degree in finance, economics, mathematics, statistics, or a related quantitative field. Candidates generally possess 5+ years of progressive experience in credit risk, portfolio management, or quantitative analytics within banking, fintech, or consumer finance. Professional certifications such as the Financial Risk Manager (FRM) or Chartered Financial Analyst (CFA) are often advantageous. The profession demands individuals who are naturally curious, detail-oriented, and capable of making sound decisions under uncertainty. For analytical leaders who thrive on protecting financial health while enabling smart business decisions, pursuing Manager, Credit Risk Management jobs offers a challenging and rewarding career path at the heart of modern finance.

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