Delivering freedom from inefficiencies in the supply chain.
51 - 200
💰 $61.5M Debt Financing on 2022-03
May 15
Delivering freedom from inefficiencies in the supply chain.
51 - 200
💰 $61.5M Debt Financing on 2022-03
• We are looking for a skilled Portfolio Risk Manager to assess, identify, and mitigate potential risks associated with our operations. • The Portfolio Risk Manager will be responsible for developing and implementing risk management strategies to safeguard our company's assets and ensure compliance with regulatory requirements. • Develop and implement risk management policies, procedures, and controls to mitigate identified risks. • Monitor and evaluate the effectiveness of risk management strategies and make recommendations for improvement as needed. • Create and maintain reports on key risk metrics, concentrations, and stratifications of the A/R portfolio. • Compile detailed financial/risk analysis across multiple, semi-disparate data sets to investigate potential risks, trends, and expected impact of risk mitigation strategies. • Stay abreast of industry developments and best practices in risk management. • Prepare ad-hoc risk management reports as assigned. • Perform other assigned tasks and duties as assigned.
• Bachelor’s degree in business, finance, risk management, or a related field • Proven experience in a risk management role • Strong understanding of risk management principles, methodologies, and best practices. • Excellent analytical and problem-solving skills, with the ability to identify and assess complex risks. • Proficiency in utilizing MS Office applications and other data analytics tools, especially Excel • Commitment to excellent customer service • Excellent written and verbal communication, as well as interpersonal skills • Ability to prioritize and manage multiple responsibilities • Ability to work independently and accomplish tasks with little to no supervision
• Monthly Mental Break Day • Paid Time Off • Work from home (or wherever) • Parental leave
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