Analyst - Credit Portfolio Analytics - Credit Risk
$75k - $95kMorgan Stanley
Firm Risk Management (FRM) supports Morgan Stanley by partnering with business units across the firm to realize efficient risk‑adjusted returns and protect the firm from exposure to losses as a result of credit, market, liquidity, operational, model, and other risks. Responsibilities Evaluate and analyze ACL (Allowance for Credit Losses) results under CECL and IFRS9 methodologies and regulatory stress tests (CCAR). Create and deliver presentations to management audiences to aid in analysis and understanding of the ACL. Ensure proper implementation of governance and controls, including updating documentation and project managing recurring and ad‑hoc deliverables. Collaborate with risk analytics and technology groups on model implementation and testing. Work with technology and perform UAT testing on projects to streamline and enhance existing stress‑testing models, data tables, and analysis tools. Qualifications Bachelor's degree required. Strong quantitative and analytical skills. Ability to clearly summarize and communicate complex concepts. Proficient in using Excel and PowerPoint to efficiently organize, transform, and analyze data; skilled in data lookups (e.g., VLOOKUP, INDEX/ MATCH), pivot tables, and writing logic‑based formulas. Basic knowledge of programming languages such as SQL, VBA, R, or Python is a plus. Hard‑working team player and self‑starter with a desire and willingness to learn, attention to detail, and problem‑solving skills. Compensation Expected base pay rates for the role will be between $75,000 and $95,000 per year at the commencement of employment. Base pay if hired will be determined on an individualized basis and is only part of the total compensation package, which may also include commission earnings, incentive compensation, discretionary bonuses, other short‑ and long‑term incentive packages, and other Morgan Stanley‑sponsored benefit programs. EEO Statement Morgan Stanley is an equal opportunity employer committed to building and maintaining a workforce that is diverse in experience and background. Our recruiting efforts reflect our strong commitment to a culture of inclusion, where individuals are hired, developed, and advanced based on their skills and talents. For more information, please visit #J-18808-Ljbffr Morgan Stanley
$75k - $95k
Firm Risk Management (FRM) supports Morgan Stanley to achieve its... ...to losses as a result of credit, market, liquidity, operational... ...team is dedicated to analyzing portfolio risk with each lending... ...deliverables. Collaborate with risk analytics and technology groups on...Risk- A financial services company is seeking a Credit Risk Portfolio Associate in New York, NY. This hybrid role involves supporting credit portfolio analytics and governance reporting, and requires strong analytical skills and credit risk knowledge. The successful candidate...Risk
- A global financial services firm is seeking a Risk Analyst to evaluate and analyze portfolio risk in its Credit Risk Management department. The ideal candidate will possess strong quantitative skills, proficient knowledge of Excel and PowerPoint, and a Bachelor's degree...Risk
- A major financial institution is seeking a Vice President in Risk Management and Compliance based in Kentucky. In this role, you will drive portfolio analytics, enhance control measures, and collaborate with diverse teams to ensure data quality and improve reporting processes...Risk
- Overview As a Vice President in Risk Management and Compliance, you are at the center of keeping... ...team member to join our Home Lending Credit Forecasting team. This individual will be responsible for portfolio analytics, analyzing model results, process improvement...RiskWork from home
$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...Risk$110k - $120k
...in New York for Investor Services. The role involves analyzing portfolio performance, supporting fundraising efforts, and automating... ...candidates should have 2-4 years of relevant experience, strong analytical and Excel skills, and the ability to work collaboratively in an...Risk- ...is seeking a Private Capital Risk Analyst in New York to support investment... ...risks across private capital portfolios. Responsibilities include analyzing market, credit, and operational risks,... ...in a related field and strong analytical skills. Proficiency in Excel is...RiskFull time
$85k - $131k
CFA Institute is seeking an Associate in New York to support credit portfolio analytics and governance reporting. The role requires a minimum of 2... ...include analyzing credit portfolios, supporting risk reporting, and enhancing data controls. The annual salary range...Risk- ...is seeking an Associate for its New York office to support credit portfolio analytics and governance reporting. This position requires a minimum... ...along with strong analytical skills and knowledge of credit risk. The Associate will produce internal risk committee materials...RiskWork at office
$90k - $121k
Job Summary Portfolio management for designated customers... ...with a large credit exposure, structured finance... ...reviews. Analyze credit risk of the designated... ...Managers Support junior analysts on an OJT basis as assigned... ..., develop and improve analytical skills through close...RiskWork experience placementLocal area$130k - $175k
...investment management firm is seeking an Associate to join its Portfolio Management Team in New York. The ideal candidate will oversee... ...or economics is required along with strong communication and analytical skills. The position offers a competitive salary range of $130...Risk- ...Senior Associate for its Wholesale Commercial Real Estate Portfolio Analytics team. This role involves evaluating market trends and conducting... ...experience, utilizing Python and SQL to support rigorous credit risk assessments and strategies. Strong analytical and problem-...Risk
$140k - $190k
...Affirm is reinventing credit to make it more honest... ...The Fraud Strategy and Analytics team is responsible for... ...partners. A full‑stack analyst works with the product... ...operations team to execute risk and resolution... ...facilitate discussions on portfolio performance and loss forecasting...RiskWork experience placementRemote workFlexible hours$75k - $95k
Firm Risk Management Firm Risk Management (FRM) supports Morgan... ...to losses as a result of credit, market, liquidity, operational... ...dedicated to analyzing the portfolio risk with each lending business... ...- Collaborate with risk analytics and technology groups on model...RiskFull timeTemporary work$84k - $131k
...banking, leasing, securities, credit cards, and consumer finance.... ...compensation, SMBC offers a competitive portfolio of benefits to its employees.... ...support credit portfolio analytics and governance reporting for... ...to materials for internal risk committees and regulators,...RiskWork at officeLocal areaWork from homeWorldwide$110k - $170k
...New York is seeking a skilled investment risk professional responsible for monitoring... ...preparing risk reports and collaborating with portfolio managers while utilizing advanced risk... ...investment risk and strong expertise in analytical tools and programming. The position...Risk$135k - $155k
...THE ROLE As a Lead Fraud Analyst at Happy Money, you'll... ...and optimizing our fraud risk strategy. Sitting within the Risk and Analytics team, you will own fraud... ...models. Monitor and analyze portfolio performance at a... ...of experience managing credit risk and/or fraud investigations...RiskFull timeTemporary workWork at office- A financial services firm is seeking a Portfolio Risk Analyst to analyze and manage portfolio-level risk across multiple asset classes. The role... ...theory and risk metrics. Ideal candidates will have analytical skills, proficiency in risk modeling tools, and excellent communication...Risk
- ...institution in New York is seeking an Associate to support credit portfolio analytics and governance reporting. The ideal candidate will have at... ...strong analytical skills, and a solid understanding of credit risk. This role involves analyzing credit portfolios,...Risk
$110k - $120k
Carlyle Private Credit seeks to hire an Analyst to serve as a key member of the Carlyle Private Credit Portfolio Management team which focuses on monitoring... ..., portfolio level risk and performance attribution... ...natural quantitative and analytical skills, strong ambition, self...Risk$140k - $180k
...advisor to clients on their entire portfolio, not just the portion under... ...s market outlook and performance, risk management analysis, and advisory... ...investment strategies. About Your Role Analysts in Client Reporting & Portfolio Analytics play a vital role in servicing Bridgewater...RiskContract work$90k - $160k
CREDIT RISK PORTFOLIO OFFICER SENIOR - Residential & Consumer / Small Business WHAT IS THE OPPORTUNITY? Responsible for portfolio risk monitoring... ...analysis, stress testing, market trend, and other analytical methodologies to anticipate any credit trends or deterioration...RiskRemote work$140k - $185k
...varies by employer) About This Role This Portfolio Risk & Controls Analyst description represents the type of... ...—including private equity, private credit, growth equity, and multi-asset... ...High attention to detail and strong analytical judgment Ability to communicate risk...RiskFull timeInternship$70k - $132k
...association is seeking an Associate Lending Portfolio Manager in New York. In this role, you will be responsible for credit risk reporting, data analysis, and portfolio... ...experience, proficiency in Excel, and a strong analytical mindset. A competitive salary range of $70,...Risk$155k - $285k
...data, cash flows and analytics for the two million plus... ...valuation services, portfolio management and trading... ...managers and research analysts. Who we are The Bloomberg... ..., surveillance and risk management tools for both... ...-in-class prepayment/credit models for the US...RiskTemporary workFor contractorsWork experience placement- ...This job description represents a sample Portfolio Risk Analyst position commonly found through the Career... ...exposures across portfolios, focusing on market, credit, liquidity, and concentration risks Develop and maintain risk analytics, models, and dashboards for real-time...Risk
$140k - $185k
...This job description represents a sample Portfolio Risk Analyst position commonly found through the... ...management, asset monitoring, and investment analytics. Actual openings may vary depending... ...portfolio exposures across market, credit, liquidity, and operational risk...RiskFull time- ...States Confidential Client About the job Analyst Portfolio Credit Monitoring 3 - 12 years of experience... ...(EWI) monitoring Support credit risk function of global banks in effective... ...and follow-up to completion Prepare analytical short notes on the underlying drivers...Risk
- Analyst / Senior Analyst - Credit Operations & Portfolio Monitoring (Private Equity Fund Accounting) Position: Analyst / Senior Analyst - Credit Operations... ...Support investment teams with portfolio analytics and concentration risk analysis Develop a strong understanding of...RiskTemporary workWork at office
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