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Hours Full-time, Part-time
Location San Francisco, California

About this job

Job Title:

Credit Portfolio Manager 3

Job ID Number:

5096098

Schedule Type:

Reg-Time

Work Hours:

40

Location:

San Francisco,CA

Qualifications:

Wells Fargo's Consumer Lending Group (CLG) is an industry leader in supporting homeowners and consumers. We put customers at the center of all that we do. We make every decision - and design every product and service - with our customers in mind.

It starts with you. We must attract, develop, retain and motivate the most talented people - those who care and who work together as partners across business units and functions. We value and promote diversity and inclusion in every aspect of our business and at every level of our organization.

The CLG team includes Home Lending, Consumer Credit Card, Personal Loans and Lines, Direct Auto, Dealer Services, Commercial Auto, Retail Services and Education Financial Services including the professional services teams that partner with these businesses - Human Resources, Finance, Credit Risk, and Compliance & Operational Risk.

Our Consumer Credit Solutions (CCS) Unsecured Credit Risk t eam manages the credit quality of the unsecured CCS portfolios, partnering with Consumer Financial Services, Education Financial Services and Retail Services from origination through account management and authorizations to collections.

This position will lead a team of risk analysts in the development of acquisition risk strategies on the Personal Lines and Loans (PL&L) portfolio.

It is a unique opportunity for an experienced individual to build out best in class acquisition strategies in a growing portfolio. The selected individual will work closely with multiple teams across the organization.

Responsibilities of the Credit Portfolio Risk Manager position will include, but will not be limited to:

- Partnering with the Product teams, Marketing teams, Finance teams, Credit Operations, and external vendors (among others) to develop best in class acquisition risk strategies across all channels.

- Ensuring MIS is capturing the optimal set of key metrics, and is diligently monitored and analyzed to provide timely and actionable guidance to ensure disciplined and responsible growth of the PL&L portfolio.

- Leading an existing team of 5-6 analysts.

- Experience with designing, executing, and monitoring champion/challenger tests.

- Where appropriate, leveraging tools like SAS; SQL; or statistical modeling techniques in the development of appropriate strategies.

- Preparing materials and presenting in senior-level forums; both internal and external for example, Corporate Credit and external Regulators.

- Communicating effectively with external regulators.

8+ years risk experience and 3+ years management experience. - Bachelor degree in a quantitative field.

- 8+ years of Risk Management experience.

- 3+ years in a management function.

- Advanced degree in Math, Statistics, Economics, Operations Research, or other quantitative field.

- 5+ years in Consumer lending experience (Personal Lines and Loans preferred).

- Strong communication, interpersonal and leadership abilities.

- Strong analytical & problem solving skills.

- Ability to work in a matrix organizational structure.