This position has daily involvement in risk management activities required to successfully manage a large portfolio of commercial lease transactions combining $6 billion in assets sourced from equipment manufacturers and value-added resellers or directly solicited from end user customers. Actively participate in portfolio management activities including vendor risk assessment, portfolio monitoring, customer reviews etc. Responsibilities Performs risk management activities to minimize risks while... more details
Overview This position has daily involvement in risk management activities required to successfully manage a large portfolio of commercial lease transactions combining $6 billion in assets sourced from equipment manufacturers and value-added resellers or directly solicited from end user customers. Actively participate in portfolio management activities including vendor risk assessment, portfolio monitoring, customer reviews etc. Responsibilities Performs risk management activities to minimize risks while aligning with the Bank's risk appetite, regulatory requirements, and criteria. Completion of customer annual reviews or annual regrades adhering to FCB’s risk acceptance guidelines and criteria. Completion of annual vendor reviews and new vendor approval adhering to FCB’s vendor adjudication and review policy. Preparation and distribution of monthly risk management-reporting requirements. Review and proactive monitoring of performance of vendor relationships. Analysis of portfolio losses Participation in external Third-Party Servicing audits Utilizes strong knowledge of the risk aspects of a vendor centric model and downstream impacts. Provides guidance to more junior staff members. Qualifications Basic Qualifications: Bachelor’s degree and 4 years of commercial credit, portfolio risk management and underwriting experience OR a High School Diploma or GED with 8 years of commercial credit, portfolio risk management and underwriting experience. Preferred Qualifications: Vendor program and vendor/portfolio risk management experience in a banking or financial services environment. Strong written, verbal, and interpersonal skills, with the ability to present reports and communicate key risks and mitigants in a concise manner to both small and large audiences in person and via conference. Possess strong analytical skills and be technically sound with working knowledge of Access SQL Microsoft products.
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