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Manager, Credit Risk Management Jobs (Hybrid work)

9 Job Offers

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Senior Auditor - Corporate Credit Risk Management
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Join Citi in Warsaw as a Senior Auditor for Corporate Credit Risk. Utilize your 5-8 years of expertise to perform complex audits and develop process improvements. Enjoy a comprehensive benefits package including private medical care, pension plan, and parental leave. Apply your skills in a dynami...
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Poland , Warsaw
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Not provided
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Citi
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Until further notice
Credit Risk Manager
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Join Inetum's Banking sector team in Lisbon as a Credit Risk Manager. Utilize your analytical skills and experience in credit risk management and analysis. This role requires proficiency in English and French, advanced Excel skills, and involves project execution and risk strategy development. Co...
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Portugal , Lisbon
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Inetum
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Until further notice
Senior Credit Portfolio Risk Manager
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Lead the credit risk function for unsecured lending at Citi Global Wealth in Singapore. This senior role requires 8-10 years' experience, expertise in risk analytics, modeling, and team leadership. You will develop strategies, optimize portfolio performance, and drive key business initiatives.
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Singapore , Singapore
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Citi
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Portfolio Credit Risk Management 2nd Line of Defense Lead Analyst
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Lead the 2nd Line of Defense for wholesale credit risk methodologies in Warsaw. Utilize your 5+ years in credit risk modeling (PD, risk ratings) and expertise in Python/R/SAS. Oversee model development, stress testing, and governance while enjoying a comprehensive benefits package including priva...
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Poland , Warsaw
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Citi
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Credit Risk Manager
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Join a leading firm in London as a Credit Risk Manager. Oversee credit, counterparty, and market risk across investment portfolios, ensuring robust risk frameworks. Ideal candidates have strong credit risk experience from insurance, asset management, or banking, with excellent analytical and stak...
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United Kingdom , London
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Orbis Consultants
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Credit Risk Manager - Mortgages
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Join Barclays as a Credit Risk Manager for Mortgages in Manchester, Northampton, or Glasgow. You will manage portfolio risk, direct technical analysis using SAS/SQL, and shape credit strategies. This hybrid role offers modern workspaces, wellness facilities, and flexible working arrangements for ...
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United Kingdom , Manchester; Northampton; Glasgow
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Barclays
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Credit Risk Second Line of Defense Senior Group Manager
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Lead the strategic credit risk management for Financial Institutions across Asia South in this senior Singapore-based role. Leverage 15+ years of expertise to oversee a diverse portfolio, set risk appetite, and drive innovative assessment methodologies. This pivotal position offers significant le...
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Singapore , Singapore
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Citi
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Credit Risk Group Manager
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Lead the Credit Risk team in Taguig as a Senior Vice President. Utilize your extensive North America lending expertise for complex commercial portfolios. Develop a high-performing team while ensuring rigorous credit analysis and compliance. Benefit from a hybrid role with comprehensive health, fa...
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Philippines , Taguig City
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Citi
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Credit Risk Analyst - Institutional Credit Management Underwriting
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Join Citi's Institutional Credit Management team in Istanbul as a Credit Risk Analyst. You will perform fundamental credit analysis and portfolio monitoring for global banking clients. This role requires 0-2 years of experience, proficiency in Turkish and English, and strong financial analytical ...
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Turkey , Istanbul
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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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