Job Description
Job Details Risk Management: understanding all risks – from the economic to the political – that could affect our global business, and offering guidance to all parts of the bankJob PurposeThe portfolio manager, supported by the credit analysts, is responsible for the development, analysis and monitoring of strategies across the credit lifecycle, with the objective of improving existing portfolio performance and increasing profitability.Generating support for strategy changes amongst key stakeholders through appropriate engagement
Responsibilities + Skills
Perform segmentation analysis to identify segments that perform out of line with expectations and recommend appropriate treatments
Education
Maintain and create reports by accessing relevant portfolio data systems that produce portfolio insights and business intelligence to support business strategy across the credit life cycle
Experience