
Third Party Portfolio Risk Manager
We are searching for an experienced Third Party Portfolio Risk Manager to join U.S. Bank Corp. In this role, you will be responsible for overseeing the third party relationships and risk management activities across the company's investment portfolio. This is a critical position within the organization and requires a detail-oriented, organized, and proactive individual with significant experience in third party risk management.The ideal candidate will have a Bachelor's degree in finance, economics, or business administration, as well as at least five years of experience in third party risk management within the banking or financial services industry. You must also have excellent communication skills, strong analytical and problem-solving skills, and the ability to manage multiple projects simultaneously. The successful candidate will possess a deep understanding of relevant regulations and industry best practices, as well as a commitment to providing exceptional customer service. If you would like to join a team of dedicated professionals at the forefront of banking and financial services, this could be the perfect opportunity for you.
Responsibilities:
• Oversee the third party relationships and risk management activities of the investment portfolio • Monitor and review third party risk management activities and ensure compliance with relevant regulations and industry best practices • Analyze risk management data and identify areas of risk and potential mitigation solutions • Develop and implement risk management policies and procedures for third party relationships • Monitor risk metrics and generate reports to communicate progress and identify areas of improvement • Collaborate with internal stakeholders to identify and address third party risk management issues • Provide support and advice to internal stakeholders on third party risk management matters • Proactively review and update risk management policies and procedures to ensure they remain current • Stay up-to-date with changes in regulations and industry best practices • Provide exceptional customer service to internal stakeholders
Proficiency In Microsoft Office Suite
Problem-Solving
Bachelor's Degree In Finance Or Related Field
Communication
Excellent Analytical
And Organizational Skills
Extensive Knowledge Of Banking Regulations And Risk Management Principles
At Least Years Of Experience In Portfolio Risk Management
Proven Expertise In Developing And Executing Risk Management Strategies
Ability To Interpret Financial Statements And Reports
Ability To Maintain Confidentiality Of Sensitive Information.
Risk Management
Financial Analysis
Problem Solving
Reporting
Quantitative Modeling
Credit Analysis
Data Mining
Stress testing
Transaction processing
Regulatory compliance
Market analysis
Portfolio analysis
Portfolio optimization
Portfolio Monitoring
Portfolio Review
Communication
Leadership
Problem Solving
Time management
Interpersonal Skills
creativity
Organization
flexibility
Teamwork
Adaptability
According to JobzMall, the average salary range for a Third Party Portfolio Risk Manager is $150,000 to $200,000 per year. This salary range can vary based on experience, qualifications, location, 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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