
Portfolio Risk Analytics Senior Manager
Are you an experienced risk analytics professional with a passion for driving strategic decisions? Do you thrive in a fast-paced and dynamic environment? If so, we have an exciting opportunity for you as a Portfolio Risk Analytics Senior Manager at Freddie Mac. In this role, you will lead a team in analyzing and managing the risk of our investment portfolio. We are looking for a highly motivated and detail-oriented individual with strong leadership skills and a deep understanding of financial risk management. If you are ready to take on a challenging and rewarding role, we encourage you to apply now.
- Lead a team in analyzing and managing the risk of the investment portfolio for Freddie Mac.
- Utilize expertise in financial risk management to make strategic decisions for the organization.
- Develop and implement risk management strategies and processes to mitigate potential risks.
- Monitor and evaluate market trends and developments to identify potential risks and opportunities.
- Collaborate with other departments and teams to ensure risk management strategies align with company goals and objectives.
- Provide guidance and direction to team members, including training and development opportunities.
- Conduct regular risk assessments and report findings to senior management.
- Stay updated on industry regulations and best practices to ensure compliance and mitigate risks.
- Manage and maintain relationships with key stakeholders, including investors, auditors, and regulators.
- Continuously improve and optimize risk management processes and procedures.
- Develop and present reports and presentations on portfolio risk analytics to senior management.
- Drive a culture of risk awareness and accountability throughout the organization.
- Act as a subject matter expert on risk management topics and provide guidance to other teams as needed.
- Identify and recommend new tools and technologies to enhance risk analysis and management capabilities.
- Stay informed on the latest industry trends and advancements in risk analytics.
Advanced Degree In Finance, Economics, Or A Related Field.
Minimum Of 7-10 Years Of Experience In Risk Management, Preferably In The Mortgage Or Financial Services Industry.
Strong Understanding Of Portfolio Risk Management Methodologies And Experience Developing And Implementing Risk Models.
Proven Leadership Skills, With At Least 3-5 Years Of Experience Managing A Team.
Excellent Analytical And Problem-Solving Skills, With The Ability To Communicate Complex Risk Concepts To Both Technical And Non-Technical Stakeholders.
Risk Management
Data Analysis
Financial Modeling
Statistical modeling
Analytics
Credit risk
Strategy development
Risk assessment
Market trends
Portfolio analysis
Investment Strategies
Mortgage-Backed Securities
Communication
Conflict Resolution
Emotional Intelligence
Leadership
Time management
creativity
Attention to detail
Teamwork
Adaptability
Problem-Solving
According to JobzMall, the average salary range for a Portfolio Risk Analytics Senior Manager in McLean, VA, USA is $148,000 - $221,000 per year. This range can vary depending on the specific company, level of experience, and other factors such as bonuses and benefits.
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Federal Home Loan Mortgage Corp. provides liquidity, stability and affordability to the U.S. housing market primarily by providing credit guarantee for residential mortgages originated by mortgage lenders and investing in mortgage loans and mortgage-related securities.

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