Credit Risk Management Specialist
hace 4 semanas
**Job Description:**
Credit Portfolio Risk Analysts at Solventum play a crucial role in our Credit Risk Management team. Their primary responsibilities include:
Supporting lead managers on credit analysis and risk rating of the portfolio, based on statistical models, and leading segmentation variables.
Monitoring and proactively managing risk/exposures and compliance with policies for credit risk portfolio. Supporting global teams with credit data analysis to formulate practical portfolio problem-solving models.
Participating in cross-functional teams to identify opportunities and support initiatives for process improvements, centralization, and standardization.
Monitoring performance of AR credit quality and analyzing AR performance, aging, trends, risk exposure, and advising business leadership teams on actions to be taken. Supporting management reporting for KPIs.
As a Credit Portfolio Risk Analyst, you will have the opportunity to collaborate with some of the most innovative and diverse people around the world. Here, you will make an impact by:
Working in collaboration with the CIR organization to implement frameworks and global governance policies. Reviewing and approving requests related to credit limits or payment terms.
Providing financial counsel and analysis on DSO initiatives to business group leaders and teams, influencing business thinking.
Leading projects related to credit risk management or working capital optimization.
Leading SAP readiness and deployment activities related to credit risk.
**Requirements:**
To be successful in this role, Solventum requires (at a minimum) the following qualifications:
Bachelor's degree or higher in business, finance, accounting, economics, mathematics, and/or statistics from an accredited institution.
Two (2) years of data analytics, data management, and/or risk analysis experience in a private, public, government, or military environment.
Additional qualifications that could help you succeed in this role include:
Experience in problem-solving, financial modeling, data analytics, and data management.
Knowledge of financial statement analysis, bankruptcy laws, basic accounting techniques, and financial principles used in analyzing and interpreting the working capital impact of decisions regarding credit risk.
Skills include analytical reasoning, persuasive and assertive, adaptable, optimistic, innovative, collaborative, excellent written and verbal communication.
Experience in credit and collections is a plus.
Experience using SAP.
**Work Environment:**
Remote
Travel: May include up to 10% domestic/international
Relocation Assistance: May be authorized.
Must be legally authorized to work in the country of employment without sponsorship for employment visa status (e.g., H1B status).
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