Credit Risk Portfolio Associate
$84k - $131kSMBC
SMBC Group is a top-tier global financial group. Headquartered in Tokyo and with a 400-year history, SMBC Group offers a diverse range of financial services, including banking, leasing, securities, credit cards, and consumer finance. The Group has more than 130 offices and 80,000 employees worldwide in nearly 40 countries. Sumitomo Mitsui Financial Group, Inc. (SMFG) is the holding company of SMBC Group, which is one of the three largest banking groups in Japan. SMFG’s shares trade on the Tokyo, Nagoya, and New York (NYSE: SMFG) stock exchanges. In the Americas, SMBC Group has a presence in the US, Canada, Mexico, Brazil, Chile, Colombia, and Peru. Backed by the capital strength of SMBC Group and the value of its relationships in Asia, the Group offers a range of commercial and investment banking services to its corporate, institutional, and municipal clients. It connects a diverse client base to local markets and the organization’s extensive global network. The Group’s operating companies in the Americas include Sumitomo Mitsui Banking Corp. (SMBC), SMBC Nikko Securities America, Inc., SMBC Capital Markets, Inc., SMBC MANUBANK, JRI America, Inc., SMBC Leasing and Finance, Inc., Banco Sumitomo Mitsui Brasileiro S.A., and Sumitomo Mitsui Finance and Leasing Co., Ltd. The anticipated salary range for this role is between $84,000.00 and $131,000.00. The specific salary offered to an applicant will be based on their individual qualifications, experiences, and an analysis of the current compensation paid in their geography and the market for similar roles at the time of hire. The role may also be eligible for an annual discretionary incentive award. In addition to cash compensation, SMBC offers a competitive portfolio of benefits to its employees. Role Summary The Associate will support credit portfolio analytics and governance reporting for the Americas Division. The role is a key contributor to materials for internal risk committees and regulators, helping transform complex portfolio data into clear, actionable insights for senior management. The position requires strong analytical skills, credit risk knowledge, and the ability to write concise, well-structured presentations. Key Responsibilities Portfolio Analytics & Reporting Analyze credit portfolios to identify trends, sector and product concentrations, rating migrations, and emerging risks. Support recurring and ad hoc materials for risk stakeholders, including portfolio decks, sector reviews, and regulatory presentations. Maintain standardized reporting packs on criticized assets, watchlists, non-pass originations, and other key risk metrics. Incorporate stress-testing, risk appetite, and rating migration results into portfolio commentary. Data, Infrastructure & Controls Source, validate, and reconcile portfolio data across multiple systems. Perform data quality checks, investigate discrepancies, and document key assumptions. Help standardize data definitions, templates, and calculation methodologies across recurring reports. Support enhancements to reporting processes and automation using Excel, SQL, and visualization tools where appropriate. Governance, Regulatory & Process Support Support credit risk governance processes, including committee materials, approvals, and action-item tracking. Contribute to materials for regulatory exams, remediation items, and internal audit, ensuring analysis is well supported and clearly documented. Provide portfolio insights that help refine sector-based underwriting standards and risk appetite frameworks. Recommend improvements to increase efficiency, transparency, and consistency of portfolio reporting. Stakeholder Management & Communication Partner with Credit Risk, Front Office, Finance, Data, and Planning teams to gather inputs and align messaging. Translate complex analysis into clear slides and talking points for senior management and committees. Incorporate feedback from stakeholders while maintaining accuracy and internal consistency. Required Qualifications Minimum 2 years of experience in financial services in credit risk, credit portfolio management, or risk/reporting roles. Solid understanding of credit risk concepts including internal ratings, risk appetite, criticized assets and watchlists, and governance frameworks. Experience working with large data sets and portfolio-level metrics. Advanced Excel skills (data manipulation, pivot tables, complex formulas); familiarity with PowerPoint for executive-ready presentations. Strong written and verbal communication skills, with the ability to synthesize complex analysis into concise messages. Bachelor’s degree in Finance, Economics, Accounting, Mathematics, Statistics, or a related analytical field. Preferred Qualifications 3–5 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) or at a foreign banking organization. Experience using SQL or a programming language such as Python or R to query and analyze data. Familiarity with business intelligence or visualization tools such as Power BI or Tableau. Professional certifications or coursework in risk management, credit analysis, or data analytics (FRM, CFA, or similar) are a plus. Personal Attributes Strong attention to detail and high standards for accuracy and data quality. Curious and willing to dig into underlying drivers of portfolio changes. Able to manage multiple recurring deadlines and prioritize effectively. Self-starter who takes ownership while collaborating closely with team members and stakeholders. Professional, organized, and motivated to improve processes and the clarity of risk communication. SMBC’s employees participate in a Hybrid workforce model that provides employees with an opportunity to work from home, as well as, from an SMBC office. SMBC requires that employees live within a reasonable commuting distance of their office location. Prospective candidates will learn more about their specific hybrid work schedule during their interview process. Hybrid work may not be permitted for certain roles, including, for example, certain FINRA-registered roles for which in-office attendance for the entire workweek is required. SMBC provides reasonable accommodations during candidacy for applicants with disabilities consistent with applicable federal, state, and local law. If you need a reasonable accommodation during the application process, please let us know at View email address on click.appcast.io. EOE, including Disability/veterans #J-18808-Ljbffr
$84k - $131k
...banking, leasing, securities, credit cards, and consumer finance. The... ..., SMBC offers a competitive portfolio of benefits to its employees. Role Summary The Associate will support credit portfolio... ...contributor to materials for internal risk committees and regulators,...SuggestedWork at officeLocal areaWork from homeWorldwide$84k - $131k
...Credit Risk Portfolio Associate - Hybrid Salary Range: $84,000–$131,000 + discretionary incentive Job Summary The Credit Risk Portfolio Associate supports credit portfolio analytics and governance reporting for the Americas Division. This role contributes to materials...Suggested$90k - $121k
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...specializes in Casualty, Property, Marine, Cyber, Financial Lines, and Credit insurance. Delegated Authority is one of our fastest‑growing... .... We are seeking an experienced actuary to lead pricing and portfolio underwriting initiatives for delegated authority programs and...Contract workTemporary workLocal areaFlexible hoursShift work- The National Black MBA Association is seeking a Funds Portfolio Manager in New York City. This role involves managing the Hedge Fund and Regulated Fund portfolios, ensuring effective credit underwriting and monitoring processes. The ideal candidate will have over 3 years...
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Role Description SMBC is seeking a highly analytical and detail-oriented Credit Portfolio Analyst to support the Risk Identification (ID) and Risk Appetite processes for the Americas Division (AD). This role is a key contributor to materials for internal risk committees...Work at officeLocal areaWork from home$96.9k - $152k
Join to apply for the Risk Management - Climate, Nature & Social (CN&S) Risk Associate role at JPMorganChase This range is provided... ...frameworks, including those of credit risk and market risk. As an... ...topics affecting the firm’s portfolio, producing insightful summaries...$75k - $95k
A leading financial services firm in New York seeks a candidate for the Firm Risk Management team responsible for evaluating credit loss results and ensuring governance controls. Applicants should hold a Bachelor's degree and possess strong quantitative skills. Proficiency...$135k - $165k
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Morgan Stanley is looking for an Associate in the FRM Credit Risk Management - Securitized Products Group. This role involves evaluating credit risk... ...real estate warehouse facilities and managing a lending portfolio. The Associate will work closely with business units and...$130k - $260k
Department Overview Credit Risk (CR) is responsible for managing the firm’s credit exposure to its trading and lending counterparties.... ...prime brokerage, synthetic equity swap, Futures and Clearing portfolios for Global Market clients Reviewing and approving risk taking...Full timeTemporary workPart time- Goldman Sachs Group, Inc. in New York seeks an Associate for its Clearing Risk team to assess market risk in multi-asset portfolios and to manage intraday and overnight risk. You will work with Sales, Credit, and Technology to deliver a robust risk platform and margin...Night shift
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CFA Institute is seeking an Associate in New York to support credit portfolio analytics and governance reporting. The role requires a minimum of 2 years' experience... ...include analyzing credit portfolios, supporting risk reporting, and enhancing data controls. The annual...- A leading financial services provider in New York seeks a Quant Risk Associate to join their risk management team. This role is pivotal for managing risk across the investment portfolio through quantitative modeling and strategic analysis. The ideal candidate will have...
- SMBC is seeking an Associate for its New York office to support credit portfolio analytics and governance reporting. This position requires a minimum of 2 years'... ...strong analytical skills and knowledge of credit risk. The Associate will produce internal risk committee...Work at office
- CFA Institute is looking for a Credit Portfolio Analyst to enhance the Risk Identification and Risk Appetite processes for the Americas Division. Responsibilities include analyzing credit portfolio trends and producing actionable metrics for senior management. The ideal...Work at officeRemote work
- SMBC Group is seeking a Credit Portfolio Analyst in New York. This role involves supporting the Risk Identification processes for the Americas Division, analyzing credit portfolio trends, and participating in material risk forums with senior management. The ideal candidate...
$71.6k - $119.3k
...analysis of quantitative/econometric behavioral models used for credit risk, interest rate risk and liquidity risk management, as well as... ...analytical results to Bank-wide stakeholders. Track portfolio performance, model performance, campaign tracking and risk strategy...Full timeWork experience placementWork at officeLocal areaRemote work$150k - $300k
...Services Futures and Clearing Risk team assess, monitor and... ...the market risk of multi-asset portfolios in the listed markets on both... ...including: Sales, Client Service, Credit, Compliance, Legal,... ...Currently we are seeking an Associate level candidate to join the Futures...Full timeTemporary workPart timeWork at officeNight shift- ...the Prime Services Clearing Risk team assess, monitor and manage... ...multi-product, multi-asset portfolios in the listed markets on both... ...including Sales, Client Service, Credit, Compliance, Legal,... ...Currently we are seeking an Associate level candidate to join the Clearing...Full timeWork at officeNight shift
$105k - $125k
...information, please consult our .MARKET RISK ASSOCIATE I page is loaded## MARKET RISK... ...Securities to market and counterparty credit risk. Perform detailed analysis of risk... ...Responsibilities*** Analyze positions and portfolios of BBVA with respect to market and credit...For contractorsWork at officeLocal area
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