VP Wholesale Credit Risk Execution & Regulatory Reporting

Madison-Davis

  • New York, NY
  • 1 day ago
  • $133,000 Per Year

Highlights

Own end-to-end production of executive-level presentations and briefing materials for regulators, the Board of Directors, Risk Committee, and senior management forums;develop compelling, decision-oriented narratives that clearly articulate portfolio performance, risk trends, emerging risks, and strategic implications. This Vice President opportunity sits within the Wholesale Credit Risk function of a well-established global financial institution, offering end-to-end ownership of executive credit risk reporting and oversight across the Board of Directors, Risk Committee, Executive Management Committee, and other senior governance forums.

Numbers & Facts

LocationNew York, NY

Description


Title: VP Wholesale Credit Risk Execution & Regulatory Reporting

Office Status: Hybrid New York, NY

Base Salary: $133k $181k + Discretionary Bonus

ABOUT THE ROLE

This Vice President opportunity sits within the Wholesale Credit Risk function of a well-established global financial institution, offering end-to-end ownership of executive credit risk reporting and oversight across the Board of Directors, Risk Committee, Executive Management Committee, and other senior governance forums. The role is equal parts analyst, storyteller, and project manager translating complex portfolio analytics, emerging risk insights, and strategic themes into clear, decision-oriented narratives and Board-quality presentations for the most senior audiences in the organization. It's an ideal fit for a credit risk professional with 8+ years of financial services experience who combines deep credit risk knowledge with exceptional communication skills, expert-level PowerPoint and data visualization capabilities, and the organizational discipline to manage a forward-looking governance calendar across a globally integrated risk function.

RESPONSIBILITIES
  • Own end-to-end production of executive-level presentations and briefing materials for regulators, the Board of Directors, Risk Committee, and senior management forums;develop compelling, decision-oriented narratives that clearly articulate portfolio performance, risk trends, emerging risks, and strategic implications
  • Conduct portfolio-level analysis to identify key risk drivers, emerging themes, concentrations, and changes in the credit risk profile;synthesize quantitative and qualitative information into actionable insights for senior stakeholders
  • Create impactful visualizations, dashboards, and presentation materials that enhance executive understanding and support sound decision-making
  • Maintain a forward-looking governance calendar;oversee timely delivery of recurring and ad hoc risk reporting across all senior leadership forums
  • Partner with Data Management and Reporting teams to obtain relevant portfolio reports, identify key trends, and synthesize findings into cohesive credit portfolio assessments
  • Support special initiatives and manage projects involving reporting enhancements, deep-dive reviews, regulatory requests, and thematic risk assessments
  • Collaborate closely with business units, Credit Officers, Enterprise Risk Management, and Data and Analytics teams to ensure committee content is relevant, insightful, and aligned with evolving regulatory, strategic, and governance priorities
  • Mentor junior team members;provide effective leadership across direct reports, colleagues, and senior management

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