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SMB CP2Posted 2 months ago

Credit Portfolio Risk Analyst

$69,000–$85,000 year

HybridNew York City, New York, United States

Full TimeEntry LevelBachelors DegreeLarge

Job Summary

Analytical Credit Portfolio Risk Analyst role supporting Risk Identification and Risk Appetite processes for the Americas. Develop and enhance portfolio analytics, reporting for risk committees and regulators, analyze portfolio trends, concentrations, and rating migrations, and contribute to risk appetite metrics and limits. Responsibilities include end-to-end credit risk reporting data pipelines, collaboration with Stress Testing and Model teams, governance materials, and executive-ready presentations. Requires solid understanding of credit risk concepts, advanced Excel and PowerPoint skills, and a bachelor’s degree in a related field. Hybrid work model in the US with an office in New York; location and remote work specifics handled during interview.

Required Qualifications

  • 1-2 years of relevant experience in credit risk analytics, portfolio management, or risk reporting at a bank or large financial institution
  • Experience in a U.S. regulatory environment (Federal Reserve, OCC, or similar)
  • Bachelor’s degree in Finance, Economics, Accounting, Mathematics, Statistics, or a related analytical field

Desired Qualifications

  • 1-2 years of relevant experience in credit risk analytics, portfolio management, or risk reporting at a bank or large financial institution
  • Experience in a U.S. regulatory environment (Federal Reserve, OCC, or similar)
  • Professional certifications or coursework in risk management, credit analysis, or data analytics (FRM, CFA, or similar) is a plus
  • Bachelor’s degree in Finance, Economics, Accounting, Mathematics, Statistics, or a related analytical field
  • Strong Excel skills (pivot tables, complex formulas) and PowerPoint skills for executive-ready presentations

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