
Portfolio Risk Analyst
Conduct assessments of proposed business initiatives, focusing on evaluation of credit risk and expected performance. Identify, collect and analyze necessary data for effective risk evaluation and profile of risk characteristics and changes over time. Collaborate with Product Management, Finance and other business partners in business case development and initiative risk assessment. Utilizing SAS and other data analysis tools, identify, collect and analyze relevant data for comprehensive evaluation of credit risk exposure.
5 years experience in residential mortgage, home equity or other consumer finance related industry is required
Strong comprehension of SAS programming language is required
Previous model development, loss forecasting experience within a consumer lending environment is strongly preferred
MS Excel
MS Word
Data Management
Logistic regression
CART/CHAID
Mitigation strategies
Communication
Multitasking
Detail Oriented
According to JobzMall, the average salary range for a Portfolio Risk Analyst in 530 B St, San Diego, CA 92101, USA is between $51,632 and $104,864 per year. This range is based on an analysis of data from job postings for similar roles in the area.
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MUFG Union Bank is an American full-service bank with 398 branches in California, Washington and Oregon which is wholly owned by MUFG Bank.

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