Portfolio & Model Manager
- Location
- United Kingdom
model change governance, and prompt resolution of development/validation/audit/regulatory findings. Partner effectively across UK and ROI stakeholders (Credit, Risk, Finance, Data, Technology) to land portfolio insights, reporting improvements and model-related changes to deadline and quality expectations. Contribute to senior papers and regulatory-facing materials … credit inputs), and support delivery of programmes and closure of UK PMU-owned actions. What you Will Bring; Bachelor’s degree in Business, Economics, Finance, Mathematics, Statistics or a related discipline (or equivalent relevant experience). Typically 10+ years’ experience in financial services, with strong understanding of lending/credit ...