Manager, Consumer Risk Portfolio Management

Chicagoonsitemanager$74K$138K

Posted today · via Workday

About this role

Application Deadline: 07/30/2026 Address: 320 S Canal Street Job Family Group: Data Analytics & Reporting The Manager, Portfolio Risk Management is responsible for independent risk oversight and early risk identification across consumer lending portfolios (e.g., Credit Cards, Mortgage/HELOC, Direct Lending, Indirect/RV/Marine, Small Business). This role focuses on: Proactive identification of emerging credit risks Portfolio analytics and risk segmentation Oversight of business strategies against risk appetite Development of actionable insights to inform senior management and regulatory reporting The ideal candidate brings strong quantitative skills, deep knowledge of consumer credit risk, and hands-on experience with modern analytics and data tools . Key Responsibilities 1.…

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reqspace match rubric

Five dimensions, recruiter-grade. Upload your resume and we'll generate a written explanation of where you fit and where the gaps are.

1

Skills match

For this role: python, r, sql, tableau, power bi…

2

Level fit

This role is manager-level. We check your trajectory against it.

3

Domain experience

Your work in the role's domain matters more than your years total. We weight recent and direct experience.

4

Recency

A skill you used last quarter weighs more than one from five years ago. We grade on recency, not lifetime.

5

Location fit

This role is based in Chicago. We weight your proximity and willingness to relocate.

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Skills in this role

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