
Industry Credit Risk Management CRE Portfolio Manager
Are you a risk management professional looking for an exciting opportunity with a leading financial institution? Look no further! U.S. Bank Corp is seeking a highly qualified and driven Industry Credit Risk Management CRE Portfolio Manager to join our team. In this role, you will play a crucial role in managing the credit risk of our commercial real estate portfolio, ensuring the bank's lending activities are in line with our risk appetite and regulatory requirements. We are seeking a candidate with a strong understanding of the CRE industry, excellent analytical skills, and a passion for mitigating risk. If you are ready to take on a challenging and rewarding role within a dynamic and innovative company, we encourage you to apply today.
- Develop and implement credit risk management strategies for U.S. Bank Corp's commercial real estate portfolio.
- Monitor and assess the credit risk exposure of the CRE portfolio, including analyzing market trends and identifying potential risks.
- Collaborate with various departments and stakeholders to ensure the bank's lending activities are in compliance with risk appetite and regulatory requirements.
- Conduct in-depth credit risk assessments for new and existing CRE loans, using quantitative and qualitative analysis.
- Provide recommendations and strategies for mitigating risk and improving credit quality.
- Stay updated on industry trends and regulations related to CRE lending and incorporate them into risk management processes.
- Maintain accurate and up-to-date credit risk data and reports, and present findings to senior management.
- Train and mentor junior risk management professionals in credit risk analysis and industry best practices.
- Establish and maintain relationships with external stakeholders, such as regulatory agencies and industry experts.
- Continuously identify areas for improvement in credit risk management processes and suggest and implement solutions.
- Work with internal audit and compliance teams to ensure adherence to risk management policies and procedures.
- Participate in special projects and initiatives related to credit risk management as assigned by senior management.
Bachelor's Degree In Finance, Economics, Or A Related Field
Minimum Of 5 Years Of Experience In Commercial Real Estate Credit Risk Management
Strong Understanding Of Commercial Real Estate Industry, Market Trends, And Portfolio Management Techniques
Proficiency In Financial Analysis And Risk Assessment
Excellent Communication And Interpersonal Skills, With The Ability To Interact With Various Stakeholders Including Clients, Senior Management, And Regulatory Agencies.
Risk Management
Financial Analysis
Relationship Management
Credit Analysis
Portfolio Management
Loan structuring
Due Diligence
Loan underwriting
Credit risk assessment
Credit Monitoring
Real Estate Market Knowledge
Communication
Conflict Resolution
Emotional Intelligence
Leadership
Multitasking
Time management
creativity
Teamwork
Adaptability
Problem-Solving
According to JobzMall, the average salary range for a Industry Credit Risk Management CRE Portfolio Manager in Minneapolis, MN, USA is between $80,000 and $120,000 per year. Factors such as experience, education, and specific job duties can impact the actual salary within this range.
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U.S. Bancorp is an American bank holding company based in Minneapolis, Minnesota, and incorporated in Delaware. It is the parent company of U.S. Bank National Association, which is the 7th largest bank in the United States.

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