Morgan Stanley

Credit Risk Portfolio - Vice President

Morgan Stanley

Newport Beach, CA, USA
Full-TimeDepends on ExperienceSenior LevelMasters
Job Description

At Morgan Stanley, we are looking for a highly experienced and dynamic individual to join our team as the Vice President of Credit Risk Portfolio. In this role, you will be responsible for managing the credit risk associated with our diverse portfolio of clients. As a key member of our risk management team, you will play a crucial role in ensuring the stability and profitability of our business. We are seeking a candidate with exceptional analytical skills, a strategic mindset, and a strong understanding of credit risk management. If you thrive in a fast-paced and challenging environment, and are ready to make a significant impact on the financial industry, we encourage you to apply for this position.

  1. Develop and implement credit risk management strategies for the company's diverse portfolio of clients.
  2. Monitor and assess the credit risk associated with new and existing clients, including conducting thorough credit analyses and evaluations.
  3. Provide strategic recommendations to senior management on credit risk management, including identifying potential risks and opportunities.
  4. Collaborate with other departments, such as sales and operations, to ensure credit risk is properly managed and mitigated.
  5. Maintain a thorough understanding of market trends and economic conditions that may impact the company's credit risk.
  6. Develop and maintain relationships with key stakeholders, including clients, regulators, and credit agencies.
  7. Oversee the credit approval process and ensure compliance with internal policies and external regulations.
  8. Conduct periodic reviews and stress tests of the company's credit portfolio to identify potential risks and make adjustments as needed.
  9. Lead a team of credit risk analysts and provide guidance and mentorship to support their professional development.
  10. Stay up-to-date on industry best practices and implement new risk management strategies and tools as necessary.
  11. Communicate credit risk management strategies and results to senior management and other stakeholders.
  12. Continuously monitor and evaluate the effectiveness of credit risk management processes and make improvements as needed.
  13. Ensure the company's credit risk management practices are in line with industry standards and regulations.
  14. Act as a key point of contact for credit risk-related inquiries and issues from internal and external stakeholders.
  15. Represent the company at industry conferences and events to stay informed on emerging trends and network with other professionals in the field.
Where is this job?
This job is located at Newport Beach, CA, USA
Job Qualifications
  • Extensive Experience In Credit Risk Management: The Ideal Candidate For This Position Should Have At Least 10 Years Of Experience In Credit Risk Management, Preferably In A Financial Institution Or Investment Bank. This Should Include Experience In Managing Large Credit Portfolios And Implementing Risk Management Strategies.

  • Strong Analytical Skills: A Credit Risk Portfolio - Vice President Should Possess Excellent Analytical Skills, With The Ability To Analyze Complex Financial Data, Identify Potential Risks, And Make Informed Decisions Based On The Analysis. This Includes Expertise In Financial Modeling, Statistical Analysis, And Data Interpretation.

  • Knowledge Of Regulatory Requirements: Morgan Stanley Is A Highly Regulated Institution, And The Ideal Candidate Should Have A Thorough Understanding Of The Regulatory Requirements And Guidelines For Credit Risk Management. This Includes Knowledge Of Basel Iii, Dodd-Frank Act, And Other Relevant Regulations.

  • Leadership And Team Management Skills: As A Vice President, The Candidate Will Be Responsible For Managing A Team Of Credit Risk Professionals. Therefore, The Candidate Should Have Strong Leadership Skills, With The Ability To Motivate And Guide Team Members Towards Achieving Common Goals.

  • Excellent Communication And Relationship Management Skills: This Role Requires Frequent Interaction With Internal Stakeholders, Including Senior Management, Business Units, And Risk Committees. The Candidate Should Possess Excellent Communication Skills, Both Verbal And Written, And The Ability To Build And Maintain Strong Relationships With Stakeholders.

Required Skills
  • Data Analysis

  • Financial Modeling

  • Credit Analysis

  • Financial forecasting

  • Portfolio Management

  • Risk assessment

  • Risk Mitigation

  • Credit Underwriting

  • Portfolio optimization

  • Credit Monitoring

  • Risk

  • Credit Strategies

Soft Skills
  • Communication

  • Conflict Resolution

  • Leadership

  • Time management

  • creativity

  • Attention to detail

  • Teamwork

  • Adaptability

  • Problem-Solving

  • Empathy

Compensation

According to JobzMall, the average salary range for a Credit Risk Portfolio - Vice President in Newport Beach, CA, USA is $170,000 - $250,000 per year. This range may vary depending on the specific company, experience level, and other factors.

Additional Information
Morgan Stanley is an Equal Opportunity Employer. We celebrate diversity and are committed to creating an inclusive environment for all employees. We do not discriminate based upon race, religion, color, national origin, sex, sexual orientation, gender identity, age, status as a protected veteran, status as an individual with a disability, or other applicable legally protected characteristics.
Required LanguagesEnglish
Job PostedApril 16th, 2024
Apply BeforeMay 22nd, 2025
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About Morgan Stanley

Morgan Stanley provides investment banking products and services to its clients and customers including corporations, governments, financial institutions, and individuals. It operates through the following business segments: Institutional Securities, Wealth Management, and Investment Management. The Institutional Services segment provides financial advisory, capital-raising services, and related financing services on behalf of institutional investors.

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