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Senior Manager-3

BR - São Paulo, Brazil💼 Full-time🗓 2026-08-27 → 2026-09-26

Core

Implement and monitor collateral arrangements with Acquirers to mitigate financial and operational risks in the payments ecosystem.

Role type

Senior Manager, Risk Management (Collateral & Credit Risk)

Builds

Robust risk mitigation processes and collateral lifecycle management for payment schemes.

Domain

Payments technology, Financial Risk, Credit Risk

Deliverable

production ML models | product features | dashboards & analysis | client delivery

Required skills

Collateral lifecycle management, Credit risk analysis, Contract management, Financial reporting, Stakeholder management, Regulatory compliance, Risk monitoring, Data analysis, Exception handling, Policy development

Preferred skills

Experience with Acquirers or Payment Facilitators, AI and digital tools proficiency, Settlement risk understanding, Knowledge of four-party model, Collateral instruments expertise, Risk control systems experience, Issuer/Processor/Registrar background

Technologies

Microsoft Office (Excel, PowerPoint), Risk control systems, Collateral management systems

Responsibilities

Implement collateral structures analyzing business model vulnerabilities, Monitor collateral sufficiency and adherence to policies, Manage collateral lifecycle (creation, renewal, enforcement), Prepare risk reports and management presentations, Consolidate financial data to identify risk deterioration, Interact with clients and internal teams (Risk, Legal, Finance), Support audits and regulatory requests, Enhance risk policies and processes

Seniority

Senior Manager, hands-on leadership with strategic oversight

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