Coda Search│Staffing
VP, Enterprise Risk Management (Real Estate Investment Firm $15B AUM)
Coda Search│Staffing, New York, New York, us, 10261
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This range is provided by Coda Search│Staffing. Your actual pay will be based on your skills and experience — talk with your recruiter to learn more.
Base pay range
$150,000.00/yr - $200,000.00/yr Additional compensation types
Annual Bonus Our client is a publicly traded real estate investment platform with a diversified portfolio of mortgage-related assets and a growing advisory and mortgage-origination footprint. Through recent strategic acquisitions, the firm has expanded into residential mortgage origination, real estate credit asset management, and third-party advisory services. The organization is continuing to build out its governance, risk, and control functions to support a more complex and evolving operating environment. The firm is seeking an Enterprise Risk Manager to design, enhance, and maintain its enterprise and operational risk frameworks. This role plays a critical part in ensuring that the company’s investment, financing, and operational activities are executed within approved risk appetite while strengthening governance, regulatory readiness, and overall portfolio resilience. The ideal candidate brings strong analytical acumen, structured credit knowledge, and the ability to partner cross-functionally in a lean environment. Key Responsibilities
Maintain, enhance, and execute the firm’s enterprise risk management framework aligned with board-approved risk policies Lead and support risk assessments, risk appetite calibration, and Key Risk Indicator (KRI) reporting Partner with business lines to identify, assess, and document material risks, controls, and mitigation plans Support risk taxonomy maintenance, policy updates, and enterprise-level oversight Operational Risk
Manage and enhance the operational risk event program, including incident capture, root-cause analysis, and remediation tracking Lead operational control self-assessments (RCSAs) across key business units Oversee third-party vendor risk and information security risk processes in partnership with Compliance and Technology Recommend and implement control enhancements based on incident trends and emerging risks Governance & Reporting
Prepare quarterly materials for the Risk Committee, Executive Leadership, and the Board of Directors Maintain risk policies, charters, procedural documents, and governance frameworks Build risk dashboards and reporting packages that support decision-making across the organization Partner with Internal Audit, Compliance, and Finance on cross-functional control initiatives Qualifications & Skills
5–10 years of experience in enterprise risk, operational risk, or market risk within a Mortgage REIT, asset manager, bank, or investment firm Strong understanding of mortgage credit, securitization, structured products, and repo funding markets Demonstrated experience with risk identification, control frameworks, and KRI development Experience building dashboards and analytics using Excel, Power BI, or Tableau Exposure to model validation, liquidity stress testing, or scenario analysis preferred Proficiency in PowerPoint (Board-level reporting required) Working knowledge of SQL, Python, or data visualization tools is a plus Excellent analytical judgment and the ability to translate data into actionable insights Strong communication and presentation skills for executive and Board audiences Highly organized, detail-oriented, and able to operate in a lean, fast-paced, high-accountability environment Collaborative team player with the ability to work across Investments, Finance, Legal, Compliance, and Technology Experience partnering with Internal Audit and/or Accounting preferred Compensation
Base: $150k - $200k (All-in: $250k - $300k) Seniority level
Director Employment type
Full-time Job function
Finance, Analyst, and Strategy/Planning Industries
Real Estate, Investment Management, and Financial Services Referrals increase your chances of interviewing at Coda Search│Staffing by 2x
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$150,000.00/yr - $200,000.00/yr Additional compensation types
Annual Bonus Our client is a publicly traded real estate investment platform with a diversified portfolio of mortgage-related assets and a growing advisory and mortgage-origination footprint. Through recent strategic acquisitions, the firm has expanded into residential mortgage origination, real estate credit asset management, and third-party advisory services. The organization is continuing to build out its governance, risk, and control functions to support a more complex and evolving operating environment. The firm is seeking an Enterprise Risk Manager to design, enhance, and maintain its enterprise and operational risk frameworks. This role plays a critical part in ensuring that the company’s investment, financing, and operational activities are executed within approved risk appetite while strengthening governance, regulatory readiness, and overall portfolio resilience. The ideal candidate brings strong analytical acumen, structured credit knowledge, and the ability to partner cross-functionally in a lean environment. Key Responsibilities
Maintain, enhance, and execute the firm’s enterprise risk management framework aligned with board-approved risk policies Lead and support risk assessments, risk appetite calibration, and Key Risk Indicator (KRI) reporting Partner with business lines to identify, assess, and document material risks, controls, and mitigation plans Support risk taxonomy maintenance, policy updates, and enterprise-level oversight Operational Risk
Manage and enhance the operational risk event program, including incident capture, root-cause analysis, and remediation tracking Lead operational control self-assessments (RCSAs) across key business units Oversee third-party vendor risk and information security risk processes in partnership with Compliance and Technology Recommend and implement control enhancements based on incident trends and emerging risks Governance & Reporting
Prepare quarterly materials for the Risk Committee, Executive Leadership, and the Board of Directors Maintain risk policies, charters, procedural documents, and governance frameworks Build risk dashboards and reporting packages that support decision-making across the organization Partner with Internal Audit, Compliance, and Finance on cross-functional control initiatives Qualifications & Skills
5–10 years of experience in enterprise risk, operational risk, or market risk within a Mortgage REIT, asset manager, bank, or investment firm Strong understanding of mortgage credit, securitization, structured products, and repo funding markets Demonstrated experience with risk identification, control frameworks, and KRI development Experience building dashboards and analytics using Excel, Power BI, or Tableau Exposure to model validation, liquidity stress testing, or scenario analysis preferred Proficiency in PowerPoint (Board-level reporting required) Working knowledge of SQL, Python, or data visualization tools is a plus Excellent analytical judgment and the ability to translate data into actionable insights Strong communication and presentation skills for executive and Board audiences Highly organized, detail-oriented, and able to operate in a lean, fast-paced, high-accountability environment Collaborative team player with the ability to work across Investments, Finance, Legal, Compliance, and Technology Experience partnering with Internal Audit and/or Accounting preferred Compensation
Base: $150k - $200k (All-in: $250k - $300k) Seniority level
Director Employment type
Full-time Job function
Finance, Analyst, and Strategy/Planning Industries
Real Estate, Investment Management, and Financial Services Referrals increase your chances of interviewing at Coda Search│Staffing by 2x
#J-18808-Ljbffr