Credit Risk Modelling- Pd, Lgd, Ead- Python
By Solytics Partners At New York, United States
· Minimum 5+ year experience in executing end-to-end validation/development of Credit Rating PPNR/CCAR or PD/LGD/EAD models
· Experience in developing/validating methodology for quantitative analysis.
Quantitative Analyst – Credit Risk/PD, LDG, EAD Models
Ph.D./Masters in (Mathematics, Statistics, Financial Engineering, Economics or other Quantitative discipline).
· The candidate would be working on Credit Rating, CCAR, CECL/IFRS9, CCAR/DFAST, Basel-related projects Credit risk portfolios.
· Interact with model governance team on model build and model monitoring.
Data And Credit Risk Manager
By CyberCoders At New York, NY, United States
Adapt product strategy in light of customer feedback and your own experiences
At least five years of data science and/or credit policy experience, ideally within financial services
Develop a thorough understanding of our data, tactics, and products
Work together with the Customer Success team to comprehend our current customer portfolio and engagement models
Promote your initial client communications and meetings
Expand the consulting industry by developing new procedures and content
Credit Risk Modelling Jobs
By Solytics Partners At New York, United States
· Minimum 5+ year experience in executing end-to-end validation/development of Credit Rating PPNR/CCAR or PD/LGD/EAD models
· Experience in developing/validating methodology for quantitative analysis.
Quantitative Analyst – Credit Risk/PD, LDG, EAD Models
Ph.D./Masters in (Mathematics, Statistics, Financial Engineering, Economics or other Quantitative discipline).
· The candidate would be working on Credit Rating, CCAR, CECL/IFRS9, CCAR/DFAST, Basel-related projects Credit risk portfolios.
· Interact with model governance team on model build and model monitoring.
Credit Risk Officer - Counterparty Risk
By Selby Jennings At Florida, United States
Conduct due diligence visits to clients' premises to evaluate their risk management practices, operations, and infrastructure
8+ Years of Relevant Work Experience working in credit risk, governance, accounting, or finance
Prior experience with due diligence as it relates to hedge funds
Quantitative skills in credit risk, market risk, or trading
Approve new positions or make recommendations to higher authority levels within the credit department
Lead the negotiation of trading documentation, such as ISDA/CSA (International Swaps and Derivatives Association/Credit Support Annex), Prime Brokerage, and Repo Agreements
Counterparty Credit Risk Analyst - Fig
By Natixis North America LLC At , $140,000 - $180,000 a year
Articulate a convincing case in support of the risk opinion to Senior Management and Credit Committees
Minimum 3-5 years of previous credit experience that has preferably included the review of trading limits to financial institution counterparties.
Previous experience in a financial institution a plus
Proficiency in MS Office products including extensive knowledge of MS Excel.
Knowledge of internal credit systems.
Strong analytical and critical thinking abilities
Counterparty Credit Risk Analyst, Professional (Hybrid - 3 Days In Office - Va)
By Freddie Mac At , Mclean, 22102 $79,000 - $119,000 a year
Advanced MS Office Suite skills and experience, with an emphasis on Excel
2-4 years of counterparty experience analyzing financial institutions such as mortgage banks
Prior experience in assurance or advisory services for financial institutions
Bachelor’s degree in Accounting or Finance, CFA Level 1 is a plus
Strong interpersonal communication skill with the ability to interact with team members, internal/external customers and senior leadership
Review and assess the credit strength of mortgage bank and develop action plan for risk mitigations
Risk Management - Wholesale Credit Risk Analyst
By JPMorgan Chase & Co. At Plano, TX, United States
Required Qualifications, Capabilities And Skills
Preferred Qualifications, Capabilities And Skills
Manage and monitor a portfolio of client credit exposures, across industry classes, on an ongoing basis
Bachelor's degree with academic training in the principals of accounting, corporate finance capital markets products, and macro economics
Strong analytical/financial modeling ability and excellent accounting and corporate finance expertise
Strong verbal and written communication skills with an interest in client interaction
Front Office Credit Risk - Lmg M&C - Associate
By Sumitomo Mitsui Banking Corporation At , New York, 10172
Intermediate knowledge of all elements of credit risk management, including legal, compliance and US regulations pertaining to lending.
3-5 years of job relevant work experience in a corporate banking function, credit analyst experience strongly preferred.
Excellent analytical and critical thinking skills, with an ability to synthesize large amounts of information and accurately assess complex information.
Must be highly proficient in the use of MS Excel, Word and PowerPoint. Excellent financial modeling/valuation skill.
Recommended years of experience: 3 to 5 years
Provide support in managing and executing transactions from beginning to closing including building and maintaining financial models.
Credit Risk, Global Markets - Slc - Analyst
By Goldman Sachs At , Salt Lake City, 84111
Functional Expertise and Technical Skills – Knowledge of financial markets and portfolio risk management. Appropriate financial/analytical skills
Bachelor’s degree in business or finance
1-3 years of experience in a financial analyst role preferred
Knowledge of capital markets, including derivatives and/or repo product
Strong analytical, communication, and organizational skills. Attention to detail
Client and Business Focus - Builds trusting, long-term relationships with clients, helps the client to identify/define needs, and manages client/business expectations
Loan Portfolio Credit Risk Analyst - Senior Associate (Open To Remote)
By Fannie Mae At Washington, DC, United States
Risk assessment and management skills including evaluating and designing controls, conducting impact assessments, identifying control gaps, and remediating risk
Relationship management skills including managing and engaging stakeholders, customers, and vendors, and building relationship networks
Implement plans or decisions to manage risks or mitigate their impact.
2 years of relevant experience
4 years of relevant experience and Master’s degree or equivalent strongly desired
Experience analyzing credit risk and the Regulatory Capital Rule preferred
Credit Risk Reviewer Jobs
By BMO US At Chicago, IL, United States
Deep knowledge and technical proficiency gained through extensive education and business experience.
Builds relationships with lending areas and across risk management.
Aggregates Credit Risk Review intelligence, indentifies issues and reports to Senior Management, various internal committees and/or Boards.
Strong finance and accounting practice skills.
Works collaboratively with internal stakeholders to maximize risk return and improve the customer experience through the lending process.
Broader work or accountabilities may be assigned as needed.
Risk Analyst, Credit Risk Management
By Barclays At , Wilmington, 19801, De
Risk Analyst, Credit Risk Management
Barclays Bank Delaware seeks Risk Analyst, Credit Risk Management in Wilmington, DE (multiple positions available).
What will you be doing?
Where will you be working?
This position is eligible for incentives pursuant to Barclays Employee Referral Program.
Credit & Risk Analyst Jobs
By Mission Cloud Services At , Remote $60,517 - $81,224 a year
Control bad debt exposure and expenses through direct management of credit terms of new and current customer accounts
4+ years of experience in assessing and evaluating credit
Knowledge of commercial credit and collection laws
Experience in establishing a credit policy that is integrated in the sales process
Experience with using credit reporting tools and services (e.g., D&B, Capital IQ, Credit Suite, Creditsafe)
Experience in meeting short deadlines and driving projects to completion with minimal supervision in a fast-paced, detail-oriented environment
Credit Risk Analyst Jobs
By Fiserv At Coral Springs, FL, United States
Negotiate collateral requirements and restructuring terms as required.
2 years prior customer service experience
Associate/bachelor's degree preferably in finance or criminal justice
1-year prior credit risk experience
You will review and investigate merchant accounts to assess fraud and credit risk exposure.
Resolve merchant inquiries through scheduled calls.
Loan Portfolio Credit Risk Analyst - Lead Associate (Open To Remote)
By Fannie Mae At Washington, DC, United States
Experience of the Final Capital Rule (ERCF) is preferred.
Experience gathering accurate information to explain concepts and answer critical questions
Skilled in presenting information and/or ideas to an audience in a way that is engaging and easy to understand
The group of skills related to Influencing including negotiating, persuading others, facilitating meetings, and resolving conflict
Skilled in Python object-oriented programming
THE EXPERIENCE YOU BRING TO THE TEAM
Associate, Esg Credit Risk
By Santander Bank, N.A. At New York, NY, United States
Assessment of eligible sustainable finance transactions from an ESCC risk perspective
Develop and maintain local processes and procedures to assess, manage and oversee ESCC Risks.
5-9 years of general work experience.
International working/academic experiences will be also positively valued
Perform ESCC due diligence on SCIB clients and transactions
Participation in credit risk approval meetings/forum and ESG panels
Credit Risk Analyst Jobs
By Ramp At New York, NY, United States
Minimum 2 years of experience in credit risk management or quantitative strategy role
Partner with product, engineering and design teams to execute credit policies, improve operational tooling, and shape the risk management infrastructure
Partner with finance teams to create and maintain risk adjusted returns framework, including loss forecasting
Minimum 2 years of experience using SQL, Python, or R for data retrieval and manipulations
Experience within consumer/corporate/small business cards, payments, lending, or related industries
Excellent written and verbal communication skills
Quantitative Analyst - Credit Risk
By Momnt At Atlanta, GA, United States
Liaise with the Sales Officers, Loan Operations, and Collateral Management Unit or Legal for Collection activities.
Be responsible for reviewing risk factors such as contingent liabilities and recurring cash flows.
Bachelor’s Degree plus at least 3 years of experience in data analytics
2+ years experience with Python or R
2+ years experience with data analysis and SQL
Analyze complex personal and corporate loan portfolio financial statements for loan risk rating and monitoring purposes on relationship basis.
Risk, Credit Risk, Associate
By Goldman Sachs At Salt Lake City, UT, United States
2 - 4 years of relevant experience in credit analysis or asset/portfolio management
Industry knowledge of Structured Finance and/or Commercial Real Estate Financing
Functional background or relevant experience in asset finance and accounting
Experience in credit analysis, ratings analysis, corporate finance and/or research desired
Strong organizational skills and the ability to manage multiple assignments concurrently
Strong analytical and communication skills, both oral and written
Credit Risk Measurement & Analytics - Associate
By JPMorgan Chase & Co. At New York, NY, United States
Broad financial product knowledge required, professional experience in credit risk management, market risk management, or with derivatives a plus
Required Qualifications, Skills And Capabilities
Present analyses and recommendations to CRMA leadership, and risk management & front-office decision-making forums
Analyze impact of events to lending values, margin requirements, and clients
Lead reporting and metric design to create new information capabilities
Academic background in, or professional experience with, financial mathematics, quantitative risk methodologies, and/or data science

Are you looking for an exciting opportunity to use your financial analysis skills to help protect a company's bottom line? We are looking for a Credit Risk Analyst to join our team and help us assess and manage our credit risk. You will be responsible for analyzing financial data, developing credit risk models, and providing recommendations to minimize risk. If you are a detail-oriented problem solver with a passion for financial analysis, this is the perfect job for you!

A Credit Risk Analyst is responsible for assessing and managing the credit risk of a company or organization. They analyze financial data, assess creditworthiness, and develop strategies to minimize risk.

What is Credit Risk Analyst Skills Required?

• Analytical and problem-solving skills
• Knowledge of financial analysis and risk management
• Ability to interpret financial data
• Excellent communication and interpersonal skills
• Ability to work independently and as part of a team
• Proficiency in Microsoft Office Suite

What is Credit Risk Analyst Qualifications?

• Bachelor’s degree in finance, economics, accounting, or a related field
• Relevant professional experience in credit risk management
• Professional certifications such as Chartered Financial Analyst (CFA) or Financial Risk Manager (FRM)

What is Credit Risk Analyst Knowledge?

• Knowledge of financial markets and instruments
• Understanding of credit risk management principles and practices
• Knowledge of banking regulations and compliance
• Understanding of financial analysis and modeling techniques

What is Credit Risk Analyst Experience?

• Previous experience in a financial institution or credit risk management role
• Experience in developing and implementing credit risk management strategies

What is Credit Risk Analyst Responsibilities?

• Analyze financial data to assess creditworthiness of customers
• Develop and implement credit risk management strategies
• Monitor and report on credit risk exposure