Risk Portfolio Analyst


Farmington Hills, MI

What you'll be doing

Develops and sets-up customized reports using high level reporting tools which may include complex calculations and data manipulations. Identifies risk issues, determines the root cause of the issue and proposes solution to mitigate the risk issue. Recommends changes to credit policy, underwriting guidelines and collection policies resulting from observations made during risk analysis process. Researches and evaluates methodologies for analyzing risk exposures. Quantifies and analyzes risk exposure characteristics for assigned retail credit portfolio. Supports results of analytical initiatives on portfolio modeling (including Basel), stress testing, migration analysis and Allowance for Loan and Lease Losses (ALLL). Prepares and delivers management reporting necessary to ensure accurate and thorough measurement of risk factors present in retail credit products.

What your background should be

3-5 years of related experience. Strong PC skills with proficiencies in microsoft word, excel, access and report generation. General accounting and spreadsheet experience. Strong knowledge of descriptive statistics.

Required Schooling / Training

Bachelor degree

Who is the client company

Concern with banking, insurance, brokerage and investment banking services.
If you are interested in this position, send your resume to apply@kochdavis.com