
Third Party Portfolio Risk Manager
U.S. Bank Corp is looking for an experienced and highly motivated Third Party Portfolio Risk Manager to join our team. The successful candidate will be responsible for monitoring and managing third-party portfolio risk. This position requires an individual who is organized, detail-oriented, and able to work independently in a fast-paced environment.The ideal candidate will have a minimum of 5 years of experience in Third Party Portfolio Risk Management, a Bachelor's degree in Business or related field, and a strong understanding of banking and credit portfolio management. The Third Party Portfolio Risk Manager must possess excellent verbal and written communication skills, the ability to analyze and interpret data, and the ability to prioritize and manage multiple tasks. The candidate must also demonstrate a customer-focused approach and a commitment to meeting deadlines.If you are a self-starter with a passion for financial services and the ability to effectively manage risk, we would love to hear from you!
Responsibilities:
- Monitor and manage third party portfolio risk to ensure compliance with applicable laws and regulations.
- Develop and implement policies and procedures related to third party portfolio risk management.
- Analyze and interpret data to identify and assess portfolio risk.
- Develop and maintain relationships with third party vendors to ensure compliance and performance.
- Prepare and present portfolio risk assessments to executive management.
- Monitor and report on portfolio risk trends and recommend strategies to mitigate risk.
- Collaborate with internal and external stakeholders to ensure compliance with applicable laws and regulations.
- Keep abreast of changes in the banking and credit portfolio management industry.
- Provide training and guidance to staff in portfolio risk management.
- Demonstrate a customer-focused approach and a commitment to meeting deadlines.
Or A Related Field
Bachelor's Degree In Finance
Economics
Strong Organizational And Problem-Solving Skills
+ Years Of Experience In A Financial Risk Management Role
Knowledge Of Capital Markets And Portfolio Risk Management Techniques
Expertise In Risk Management Software Tools And Systems
Proven Ability To Analyze
Interpret And Present Financial Data
Ability To Communicate Complex Financial Concepts To A Variety Of Stakeholders
Risk Management
Data Analysis
Financial Modeling
Reporting
Credit Analysis
Risk Analysis
Stress testing
Excel Modeling
Credit risk
Risk modeling
Risk Mitigation
Regulatory compliance
Portfolio analysis
Risk Monitoring
Portfolio Risk
Communication
Conflict Resolution
Leadership
Time management
Interpersonal Skills
creativity
Organization
Teamwork
Adaptability
Problem-Solving
According to JobzMall, the average salary range for a Third Party Portfolio Risk Manager in Charlotte, NC, USA is between $112,000 and $165,000 per year. The specific salary offered for this position may vary depending on the employer, qualifications of the applicant and other factors.
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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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