0Risk Manager Kreditportfolio (m/f/d)
Majori GmbH | Germany | 65xxx Flörsheim am Main | Permanent position | Full time | Published since: 30.06.2026 on stepstone.de

Risk Manager Kreditportfolio (m/f/d)

Branch: Insurance and financial ser... Branch: Insurance and financial services


For our clients, an internationally established company from the financial services environment, we are looking for a Risk Manager credit portfolio (m/w/d) in direct switching at the next possible time. In this position, you play a central role in credit risk management. They are responsible for the further development of existing credit risk models, analyze the credit portfolio and support local and international stakeholders with sound evaluations, risk reports and recommendations for action. The position is particularly suitable for candidates who have already gained experience in credit risk management and want to introduce their analytical strength in a regulated international environment. .

Your tasks • Your profile • What we offer

Responsibility for the maintenance, monitoring and further development of existing credit risk models in the area of credit risk Analysis and assessment of the credit portfolio in terms of risk trends, concentration risks, vintage analyses and delinquencies Ensuring compliance with regulatory requirements, in particular MaRisk, EBA Guidelines and ICAAP Further development and monitoring of risk parameters, limits, early warning indicators and monitoring approaches Support for stress tests, scenario analyses and model validations Creating regular risk reports for internal bodies, management and central stakeholders Ensuring data quality, consistency and traceability in analyses and reports Consulting internal areas of expertise in complex credit cases from risk perspective Cooperation with credit department, debt management, accounting and central risk units Development and standardization of reporting structures, processes and documentation

Multiannual experience in credit risk management Understanding credit risk models, in particular PD, LGD and EAD Knowledge of regulatory requirements such as MaRisk, EBA Guidelines and ICAAP Very good knowledge in Excel and data analysis Experience with SQL, reporting tools or data models of advantage Analytical thinking and a structured working method High detail accuracy and a pronounced quality awareness Communication strength in the international environment Ability to comprehend complex issues for management levels Very good German and English skills French or Italian knowledge of advantage, but no need

Beneficiary KFZ leasing conditions 13. Contents 30 days off Flexible working hours by sliding time Free parking International working environment Responsible position in credit risk management Design space for reporting, processes and models Structured incorporation Further development in a regulated financial services environment Modern working methods Collaborative working environment with short communication paths

Location

ava Majori GmbH
49074  Flörsheim am Main
Germany

The text of this ad was translated from German into English using an automatic translation system and may contain semantic and lexical errors. Therefore, it should be used for introductory purposes only. For more detailed information, see the original text of the ad at the link below.

For more information read the original ad

Permanent link to this ad

Ad Id