Jobs · Finance · Texas

Senior Manager - Collateral Policy & Valuations

Fannie Mae · Plano, TX · 2 wk ago
FinanceFull-time

Job Description

As a Single Family – Risk Management - Senior Manager, you will play a critical leadership role in helping Fannie Mae identify, assess, monitor, and mitigate risks that could impact the company’s reputation, safety, security, operational effectiveness, and financial performance. You will partner closely with senior leaders and stakeholders across the enterprise to develop and implement strategic risk management frameworks, evaluate emerging risks, and drive informed business decision-making.

Key Responsibilities

  • Provide centralized leadership across governance, operational risk management, AI oversight, and strategic initiatives for the Collateral Policy and Valuation (CPV) organization.
  • Lead and develop a team responsible for identifying, assessing, and monitoring risks across valuation operations, collateral processes, and supporting platforms.
  • Partner with leadership to design and implement risk management frameworks, governance structures, and control environments that support business objectives while ensuring compliance with regulatory requirements and enterprise standards.
  • Oversee responsible AI governance, including controls related to model use, data integrity, and emerging technology risks.
  • Evaluate existing and emerging risks across business operations, regulatory compliance, financial performance, and valuation processes, with a focus on collateral risk, appraisal modernization, and platform ecosystems including Desktop Underwriter (DU), Collateral Underwriter (CU), Valuation Order Management, and internal tools.
  • Direct team efforts to analyze, monitor, and report risk insights using data-driven approaches.
  • Lead the development and delivery of operational and collateral risk reporting, governance materials, and executive-level presentations to inform decision-making.
  • Ensure consistent documentation of risk assessments, issue management, mitigation strategies, and control frameworks.
  • Drive strategic initiatives across CPV, including Condo strategy and valuation modernization, ensuring alignment with enterprise priorities and integration into business operations.
  • Provide risk-informed perspectives to guide strategy discussions in response to market conditions, valuation trends, and regulatory expectations.
  • Collaborate with cross-functional partners across business, technology, analytics, and operations to ensure risks are appropriately identified, managed, and mitigated.
  • Oversee development of tools, applications, and process improvements that enhance efficiency, strengthen controls, and increase transparency.
  • Foster a culture of accountability, collaboration, and continuous improvement while developing team capabilities to meet evolving governance, risk, and strategic needs.

Minimum Required Experience

  • 6 years of progressively responsible experience in Risk Management, Enterprise Risk, Operational Risk, Compliance, Internal Audit, Financial Services, or a related field.
  • Shows curiosity and adaptability in learning and responsibly applying new technologies, including artificial intelligence, to reimagine how we work.
  • Bachelor’s degree or equivalent combination of education and experience.
  • 10 years of Experience leading teams and developing talent in a risk management or financial services environment.
  • Experience partnering with senior leaders and cross-functional stakeholders to drive strategic initiatives.
  • Strong analytical, problem-solving, and decision-making capabilities.
  • Experience evaluating complex business risks and developing practical mitigation strategies.
  • Excellent Executive Communication, including experience presenting to senior leadership.
  • Knowledge of risk management frameworks, governance practices, and regulatory expectations within a highly regulated industry.
  • Able to manage multiple priorities and lead through organizational change.
  • Strategic Thinking, Risk Assessment and Mitigation, Leadership and Team Development, Stakeholder Management, Analytical Problem Solving.

Qualifications

  • Collateral Management, Credit Risks, Financial Analysis, Mortgage Lending, Risk Management, Strategic Planning

Education

  • Bachelor's Level Degree (Required)

Requisition Compensation

  • 155000 to 209000

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