Credit Risk Analyst
Insight Global
Analyze financial statements, cash flow projections, tax returns, and other financial information to assess borrower creditworthiness. Perform credit risk assessments and assign appropriate risk ratings based on established credit policies and underwriting standards. Monitor existing loan portfolios to identify trends, deteriorating credit conditions, and potential problem credits. Prepare detailed credit memorandums, risk assessments, and portfolio reviews for senior management and credit committees. Evaluate covenant compliance and borrower performance against approved credit terms. Support commercial lending, portfolio management, and relationship management teams throughout the credit review process. Conduct industry, market, and economic analysis to understand potential impacts on borrower performance and portfolio risk. Assist in stress testing, concentration analysis, and portfolio risk reporting initiatives. Identify and elevate emerging risks, policy exceptions, and high‑risk exposures. Ensure compliance with regulatory requirements, internal controls, and bank credit policies. Participate in special projects related to credit risk management, process improvements, and portfolio analytics. Qualifications Bachelor's degree in Finance, Accounting, Economics, Business, or a related field. 2+ years of experience in credit analysis, underwriting, commercial banking, risk management, or financial analysis. Strong understanding of financial statement analysis, credit risk principles, and lending practices. Experience analyzing commercial or consumer credit portfolios preferred. Knowledge of regulatory requirements and risk management frameworks within the banking industry. Advanced proficiency in Microsoft Excel and financial modeling. Strong analytical, problem‑solving, and decision‑making skills. Excellent written and verbal communication skills with the ability to present findings to various stakeholders. Ability to manage multiple priorities in a deadline‑driven environment. Preferred Qualifications Experience with risk rating methodologies and portfolio management. Familiarity with Moody's, nCino, SAS, Power BI, or other risk analytics platforms. MBA, CFA, CRC, or other relevant financial certifications preferred. #J-18808-Ljbffr
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