.**Responsibilities**:- Provides thorough credit risk management across all mortgage channels by reporting on underwriter performance.- Manages teams that deliver a consistent, goals and sophisticated process of underwriter review.- Identifies credit risks, processes trends and training needs within the body of underwriting work completed each month.- Appropriately calibrates variances with front-end Quality Assurance (QA) and Department of Housing and Urban Development (HUD) requirements.- Assures precise and adequate sampling of underwriters' work to make accurate assessments of underwriter- decision making.- Evaluates the process of underwriter performance review to encapsulate all relevant decision making and- calculations in the review.- Provides for competent discourse of rebuttals to variances and quick resolution of risk issues in loan originations.- Partners with front-end QA to provide seamless quality checks on all mortgage originations and correspondent- fundings.- Identifies measures and reports on complex underwriting issues at the individual underwriter level and the macro level, across all mortgage channels.- Performs other duties and functions as assigned.**Qualifications**:- 15+ years relevant experience- Must have credit operations background and senior management experience in a large, high volume underwriting center.- Exercises effective people management skills- Demonstrate advanced analytical skills and the ability to assimilate complex information.- Must be able to clearly communicate the impact of such information on organizational risk.- High level of accuracy and sound methodologies are required- Excellent written and oral communication skills as well as presentation skills are required.**Education**:- Bachelor's/University degree, Master's degree preferred and managerial experienceThis job description provides a high-level review of the types of work performed. Other job-related duties may be assigned as required.The Credit Portfolio Senior Group Manager is a senior position responsible for managing and monitor the Citi Global Wealth (CGW) credit portfolio and identify credit migration in coordination with the broader Risk Management organization. The overall objective of this role is to lead the management of Citi Global Wealth portfolio exposure to client and counterparties within the assigned geographic scope; along with maintaining the overall control environment in line with established policies, processes, and procedures.**Responsibilities**:- Manage sub-regional and other key Risk reviews including assessment of quality of assigned portfolios (primarily - but not limited to - Mexico CGW), product programs including identification and evaluation of emerging risks, effectiveness of control processes and applicable performance metrics