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Senior Manager, Business Analytics, Reporting
Job in
Chicago, Cook County, Illinois, 60290, USA
Listed on 2026-09-09
Listing for:
Jobtailor
Full Time
position Listed on 2026-09-09
Job specializations:
-
Finance & Banking
Risk Manager/Analyst
Job Description & How to Apply Below
- Apply expert-level analytical skills to complex credit risk problems using internal and external data sources
- Design and produce recurring and ad-hoc reports, dashboards, and analytical tools
- Conduct credit portfolio analytics, including vintage analysis, trend assessments, risk segmentation, and predictive analysis
- Support development, simulation, validation testing, and reporting for risk decision strategies
- Define business requirements for analytics and reporting
- Govern data quality, lineage, and key risk indicators for Business Banking
- Lead or participate in strategic initiatives involving credit risk analytics, reporting transformation, and process modernization
- Provide subject-matter expertise on regulatory, policy, and industry requirements
- Advise senior leaders on portfolio quality, emerging risks, model or policy impacts, and monitoring improvements
- Partner with first- and second-line stakeholders on originations, credit policy changes, and portfolio strategies
- Execute risk, regulatory, and management reporting for internal and external stakeholders
- Interpret regulations and assess impacts on risk reporting frameworks
- Recommend business priorities, resource requirements, and strategic roadmaps
- Manage resources and lead strategic initiatives
- Measure risk reporting effectiveness and recommend changes
- Lead development and maintenance of risk reporting frameworks
- Represent risk reporting during regulatory audits and examinations
- Develop and manage information management systems and process improvements
- Lead change management and operational programs
- Design, develop, and implement management and regulatory reporting solutions
- Execute scheduled reporting production processes accurately and efficiently
- Maintain and monitor key risk indicators
- Analyze data to provide portfolio risk insights, including capital-at-risk modeling and risk/return assessments
- Select data sources with internal data owners and external vendors
- Ensure governance and controls across risk reporting activities
- Support audits, stakeholder relationships, procedures, training tools, and data accuracy
- Typically 7+ years of relevant experience
- Post-secondary degree in related field of study or equivalent combination of education and experience
- Expert knowledge of risk management metrics, KPIs and KRIs
- Expert knowledge of industry trends and regulatory requirements for risk reporting
- Expert product knowledge for the designated business/portfolio
- Expert knowledge of risk management theory, processes and portfolio management reporting techniques
- Expert knowledge of reporting and analytics concepts and applications
- Expert knowledge of risk systems technology
- Advanced proficiency in SAS, Python, and Power BI
- Experience with credit risk analytics, preferably within Business Banking or mid-market lending
- Experience with vintage analysis, trend assessments, risk segmentation, predictive analysis, cohort performance tracking, and early-warning indicator development
- Knowledge of Business Banking lending products
- Strong understanding of regulatory expectations and internal policies
- Expert verbal and written communication, analytical and problem-solving, influence, collaboration, and data-driven decision‑making skills
- Ability to manage ambiguity
Demonstrates expert knowledge in credit risk analytics, regulatory requirements, and risk management metrics, with a strong ability to design and implement reporting solutions and manage strategic initiatives. Proficient in utilizing advanced analytical tools and techniques to provide insights and recommendations for portfolio management.
Highest-signal resume keywords- Credit Risk Analytics
- SAS Proficiency
- Python Proficiency
- Power BI Proficiency
- Regulatory Reporting
- Credit Risk Management
- Risk Segmentation
- Predictive Analysis
- Vintage Analysis
- Trend Assessment
- Data Analysis
- Portfolio Management Reporting
- Risk Management Theory
- Reporting and Analytics Concepts
- KPI and KRI Metrics
- Analytical Problem‑Solving
- Influence
- Collaboration
- Data-Driven Decision‑Making
- Communication
- Business Banking
- Regulatory Requirements
- Credit Policy
- Portfolio Quality
- Emerging Risks
- Risk Systems Technology
- Information Management Systems
- Management Reporting Solutions
Position Requirements
10+ Years
work experience
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