In this role, the selected candidate develops, tests and documents mathematical and statistical models of various complexities incorporating appropriate guidance and governance requirements from regulatory agencies and internal groups such as Model Risk Management, Model Validation, etc.
Ensuring overall portfolio performance and asset quality remains strong and when necessary surfaces issues, proposes and collaborates with others on strategies and actions to limit risk and loss to the Bank.
The Group focuses on both C&I and Commercial Real Estate financing with an experienced team of professionals, and our goal is to deliver high quality financial services to companies and real estate developers. As a member of the team, the successful candidate will participate in management of an existing portfolio as well as the opportunity to assist in originations and credit presentations for new loans.
In this role, you will be responsible for maintaining high quality loans through the support of underwriting and portfolio administration functions. Ensure compliance with regulatory requirements and with the banks policies and procedures.
The Portfolio Manager, Counter party Credit position is fundamental to conducting credit investigations and analysis on an expanding and increasingly more complex set of Treasury Investments and Counter party Risk Exposures.
The role of the Business Analyst is critical to the success of the Model Risk Management System. This role will be responsible for the ownership and management of a number of strategic projects to create efficiencies for the business and systems. The role will also serve as the key interface between the Model Risk Management and our partners in Operations & Technology.
The candidate will provide support to understand the risk policies, procedures and processes, develop reporting and analytical/ technology based solutions that are scalable and flexible to be adapted to different industries. Ensure accurate procurement and measurement of relevant risk information. Identify, evaluate and develop improvements to the integrity of data in the risk systems.
Primary responsibilities include annual reviews of existing exposures, credit approval documents for new credit requests, ongoing monitoring of risks in the portfolio and comprehensive quarterly reporting.
This position is responsible for management of the UTC digital project portfolio with the goal of ensuring successful execution of digital initiatives, value realization and alignment with UTC digital strategy.
In this role, you will work with development teams & stakeholders to build best in class Project Management processes and systems. The selected candidate will work with development teams & stakeholders to build best in class Project Management processes and systems.
The Digital Portfolio Administrator position is responsible for maintaining the integrity of data surrounding the overall health and agility of our project pipeline, supporting ongoing analysis, and maintaining up-to-date Share Point reporting repositories.