
Portfolio Risk Manager
Posted May 7

Posted May 7
• The Portfolio Risk Manager utilizes data-driven insights to oversee the overall health of the factoring portfolio, authorize credit, and ensure a seamless and transparent onboarding process, all while mitigating risk and promoting sustainable growth.
• Evaluates credit requests in accordance with established frameworks through a standardized procedure.
• Utilizes existing scoring models for the approval of new debtors.
• Monitors portfolio risk dashboards and identifies any issues that arise.
• Underwrites new transactions using existing underwriting protocols.
• Gains insights from senior team members on how to foresee macroeconomic and industry trends.
• Embraces tools and systems while adhering to the automation workflows currently in place.
• Recognizes opportunities to automate and enhance risk management processes, minimizing manual tasks and expediting decision-making timelines without sacrificing quality.
• 1 - 2 years of experience in factoring, B2B lending, or credit risk management.
• Preferred: 1 - 3 years of experience in factoring with direct accountability for credit decision-making and portfolio risk oversight.
• Over 1 year of underwriting experience, ideally at another factoring firm.
• Familiarity with logistics or freight brokering.
• Understanding of portfolio management principles.
• Health insurance
• 401(k) matching
• Flexible work hours
• Paid time off
Switzerland Global Enterprise
Fiserv
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