The Risk Manager I am responsible for managing the creation, implementation and validation of various risk segmentation strategies including, but not limited to: adjudication, account management, exposure management, risk segmentation, and financial return optimization. This job provides critical information, interpretative, and detailed analysis, and deploys critical credit risk rational strategies that ensure the decisions are made within the TD risk appetite and adhere to all governmental requirements and guidelines. The Risk Manager I's primary accountability is providing a comprehensive and diverse range of risk management expertise. The Risk Manager I investigates, creates, implements and validates various risk segmentation strategies and policies using complex data, advanced analytical approach, and business intelligence tools... Qualifications:. * Bachelor's degree required; Graduate degree preferred. 5+ years' experience required. Proficient PC skills including a strong competency in MS Excel and PowerPoint, and a variety of PC-based analytical and reporting software packages. Experience with the use of Relational Databases and the process of Extract Transform Load (ETL) using common languages such as SQL or SAS. Familiar with various analytical or reporting tools, such as SAS, R, Matlab Tableau, etc.. Strong analytical and problem solving skills are required to interpret data and draw conclusions. Experience in data modeling and risk management either from a business administration, statistical, mathematical, scientific or financial background. Excellent written and verbal communication skills. Experienced in developing and presenting recommendations to Senior Management... Glassdoor has millions of jobs plus salary information, company reviews, and interview questions from people on the inside making it easy to find a job that's right for you.