Credit Risk Analyst
$160k - $195kGauntlet
You will own credit risk for one of the largest asset managers in onchain finance. Gauntlet serves $1.5B+ in client TVL, and every dollar of credit we extend onchain runs through a risk function that is yours to build. This is not a seat where you inherit a model and press run. You will define the underwriting standards, design the frameworks, set the redlines, and be the internal check on every asset-onboarding decision Gauntlet makes, working shoulder-to-shoulder with Capital Markets, Vault Curation, and senior leadership. If you want to build the credit infrastructure for institutional finance moving onchain, rather than maintain someone else's, read on. About Gauntlet Gauntlet builds the financial systems of the future. While much of onchain finance is focused on point solutions, we operate across the entire stack to offer best-in-class vault products. Today we serve over $1.5B in client TVL across some of the largest fintechs/neobanks, protocols, exchanges, and capital allocators in crypto - and, increasingly, traditional asset management. Our team brings together traditional finance and crypto-native expertise to deliver durable, sophisticated products for institutional clients moving onchain. The role The Credit Risk team runs due diligence on the assets, protocols, and chains supported by Gauntlet's lending and vault products, sets the guardrails that govern our lending activity, and monitors credit assets both off-chain and on-chain. You will work the full credit lifecycle – initial diligence and deal structuring through ongoing portfolio surveillance – across direct lending, structured facilities, and on-chain/off-chain securitization. You own the risk models, the parameters, and the monitoring cadence. You partner with Capital Markets on structuring and with Product and Engineering to embed credit controls directly into our on-chain infrastructure. What you'll do Underwrite institutional and on-chain credit relationships, and build/own the credit models for RWA assets – PD/LGD frameworks, vintage loss curves, advance-rate haircut schedules, and stress scenarios. Run the due-diligence gate for new credit and asset-issuer relationships: structured protocol reviews (solvency, oracle infrastructure, governance, security posture), historical on-chain data analysis, counterparty financials and legal structure, redlines, and final deal approval. Set the guardrails for each credit product: minimum rate floors, maximum terms, concentration limits per borrower and asset class, eligible collateral, and first-loss buffer sizing for tranched structures. Partner with Capital Markets on structuring: credit input on term sheets (rate, term, size, collateral, covenants, margin-call triggers); co-design trust tranches, covenants, advance-rate schedules, and facility limits for securitized products before close. Monitor the portfolio: borrower financial condition, covenant compliance, delinquency trends, and NAV integrity; flag deterioration early and work remediation or exit with Capital Markets. Stress the book: elevated delinquency, funding-rate shocks, correlated default, and originator failure – validating that structural protections hold under tail conditions. Maintain on-chain risk parameters: supply caps, LLTV settings, exposure thresholds, and related controls. Shape credit terms guidance (what we can offer, at what rate, term, and collateral conditions) and track emerging yield strategies, protocols, and issuers to give Curation a competitive edge. What success looks like First 30 days. Ramp on Gauntlet's vault infrastructure, especially on-chain credit structures. Meet stakeholders across Capital Markets, Strategy & Growth, Product, and Engineering, review the current book and pipeline, and form a clear view of the existing DD framework – including its gaps in coverage, model depth, or monitoring cadence. First 3 months. Operating as the credit-risk owner across active and incoming deal flow: running your own models on the live pipeline (PD/LGD, stress scenarios), producing structured DD memos and go/no‑go recommendations for Capital Markets and Vault Curation, and established as the Credit Risk point of contact on at least one active credit product with monitoring cadence and escalation protocols in place. In 1 year. Reviewed and closed multiple institutional credit relationships across at least two product types. Running a portfolio-monitoring function with consistent cadence (covenant tracking, delinquency surveillance, stress refresh, parameter maintenance). Recognized internally as the authority on Gauntlet's credit standards, with reusable DD playbooks and risk-parameter frameworks that compress future deal cycles for Credit Risk and Capital Markets. What you bring 3–6 years in credit risk, structured finance, leveraged finance, or asset-backed lending at a leading financial institution, credit fund, or fintech lender. Direct credit-underwriting experience: PD/LGD modeling, loss-curve and vintage analysis, advance-rate structuring, covenant design, and stress testing. Hands‑on exposure to one or more of: direct lending, warehouse facilities, ABS/CLO structuring, securitization, asset‑backed finance, or structured credit. Strong grasp of legal/structural credit concepts: SPV formation, bankruptcy remoteness, security‑interest perfection, covenant packages, and waterfall mechanics. Portfolio-monitoring experience: delinquency tracking, covenant compliance, borrower financial review, and early-warning systems. Exceptional written and verbal communication – able to distill complex credit analysis into clear, actionable recommendations for non-credit stakeholders. Experience building or maintaining quantitative risk models in Python or R. Bonus points On-chain credit protocols, DeFi lending markets, or tokenized-asset structures (e.g., Morpho, Aave, tokenized ABS). Crypto-native credit risk: smart-contract risk, oracle failure, depeg events, and on-chain collateral liquidity. Prior work with RWA issuers, fintech lenders, or asset originators – understanding the pipeline and servicing behind the loan tape. Exposure to prime-brokerage credit, repo, or securities financing from a risk perspective. Who thrives here Naturally curious about digital assets, DeFi, and the evolution of institutional credit. Prior crypto experience is not required – curiosity is. Wants to own the full credit function, not just run models. Comfortable building frameworks from scratch, setting standards, and defending views with Capital Markets and senior leadership. Operates with significant autonomy in an entrepreneurial environment. Wants to build the credit infrastructure, not inherit it. Analytically rigorous but commercially aware – understands the credit function exists to enable deal flow, not block it, and manages that tension thoughtfully. Benefits and Perks Remote first – work from anywhere in the US & CAN! Regular in-person company retreats and cross-country “office visit” perk 100% paid medical, dental and vision premiums for employees $1,000 WFH stipend Monthly reimbursement for home internet, phone, and cellular data Unlimited vacation 100% paid parental leave of 12 weeks Fertility benefits Opportunity for incentive compensation Please note at this time our hiring is reserved for potential employees who are able to work within the contiguous United States and Canada. Should you need alternative accommodations, please note that in your application. The national pay range for this role is $160,000 – $195,000 base plus additional On Target Earnings potential by level and equity in the company. Our salary ranges are based on paying competitively for a company of our size and industry, and are one part of many compensation, benefits and other reward opportunities we provide. Individual pay rate decisions are based on a number of factors, including qualifications for the role, experience level, skill set, and balancing internal equity relative to peers at the company. #J-18808-Ljbffr Gauntlet
$100k - $150k
Your Role in Our Story: As a Senior Credit Risk Analyst, you will join our Global Risk team in New York and oversee credit risk activities across the Americas. Working closely with senior traders and the Global Risk Director, you will help shape our risk framework while...SuggestedLocal area$32 - $38 per hour
DescriptionProvide dedicated credit and risk coverage for leveraged finance and CLO warehouse portfolios. Support portfolio-level risk analytics... ...agree that your application may be reviewed using AI tools.Job SummaryJob number: JP-006193978Profession: Business/Systems AnalystSuggestedContract workTemporary work- ...Job Title Prestigious international bank seeks a Credit Risk Analyst Job Description Prestigious international bank seeks a Credit Risk Analyst responsible for credit risk management and related administrative work for Corporate Finance Department. Works with...Suggested
- ...About the Role As Félix expands nationwide, we are scaling our Credit Risk function from the ground up to support our new Consumer Lending division. We are looking for a Senior Credit Risk Analyst who lives and breathes data, portfolio mathematics, and lending...SuggestedWork at office
$85k - $140k
...Private Banking Group (“PBG”) offers WM clients cash management and lending solutions.Job SummaryThe PBG is building its first-line credit risk team to enhance credit risk oversight and activities across multiple-lending products. This role sits at the center of credit...SuggestedTemporary work- ...The Credit Risk Analyst /Python/ACL/Banking - Required Candidate Location: 100% Remote Contract Duration: 1 year Type of Interview Required: Video Candidate Visa's Accepted : No Opt. Requirement Notes (Candidate Job description...Contract workRemote work
$105k - $115k
...Overview Join to apply for the Credit Risk Analyst role at Tullett Prebon . The TP ICAP Group is a world leading provider of market infrastructure. Our purpose is to provide clients with access to global financial and commodities markets, improving price discovery, liquidity...Full time- ...everything we do. We’re looking for passionate individuals to help us sustain this focus every day. Responsibilities The Risk Analyst initiates and supports Credit Risk Management analysis and decisions using queries, reports, and visual tools. Produces and analyzes ongoing...Remote workMonday to Friday
- ...Associate position supports the Relationship Managers and other Risk management team members to promote banking products and services... ...partners and/or prospective clients. Complete due diligence and credit investigation on clients: Perform the initial due diligence analysis...Full timeWork at officeFlexible hours
- ...corporate, investment, and structured finance. This team supports sophisticated asset-backed securities portfolios through disciplined credit risk management, portfolio analytics, and transaction oversight. The environment is analytical, collaborative, and fast-paced, with...
$32 - $38 per hour
...Description Provide dedicated credit and risk coverage for leveraged finance and CLO warehouse portfolios. Support portfolio-level risk analytics through financial modeling, scenario analysis, stress testing, and reporting. Analyze credit exposures and recommend risk...Contract workTemporary work- ...global financial institution with a significant presence in the Americas. The team supports complex credit portfolios and financing transactions through disciplined risk analysis, portfolio surveillance, and data-driven decision-making. This position works closely with...
- As part of Risk Management and Compliance, you are at the center of keeping JPMorganChase... ...- Climate, Nature, and Social Risk Analyst in the Climate, Nature and Social (CN&S)... ...understanding regulatory changes and determining credit worthiness. Risk Management provides...Full time
$134.5k - $265.1k
Position Summary Financial Services Manager - Financial Risk Our Deloitte Regulatory, Risk & Forensic team helps client leaders... ..., supporting one or more of financial risk/related areas: Credit Risk, Liquidity Risk, Market Risk, Capital Management/Stress TestingKnowledge...Work at officeVisa sponsorship$350k - $400k
...The Chief Risk Officer (CRO) is a newly created role, as we establish a formal second line of defense, bringing Regulatory & Compliance, Enterprise Risk & Governance and Safety, Resilience & Incident Management together under one risk structure. The successful candidate...Full timeWork at officeRemote work- ...for alternative structures or assumptions to better represent the risks under review.Delivering presentations on actuarial analyses to... ...factors. The national average salary range for the Senior Actuarial Analyst is $78,000 to $107,250 with 15% incentive. The national average...Full timeLocal areaWork from home
- Posted 4 days agoSenior P&C Modeling Actuary opening in Atlanta, Boston, Chicago, Dallas, Montreal, New York, or Toronto. Design, test, and maintain predictive models for pricing, reserving, underwriting, and claims, using Python, R, SQL, Machine Learning, Databricks, and...
- Posted 2 days agoLife/Annuity Actuary opening in NYC. Conduct valuation reporting of Life Reinsurance and Annuity transactions under Solvency II, IFRS, and Statutory bases as well as reporting of Value of New Business (VNB) for new deals; prepare cash flow projections; ...
$160k - $230k
...communicate and collaborate effectively with underwriters at a variety of levels. There is the possibility of managing one to two actuarial analysts, dependent on the candidate’s experience and interest level in managing. This teammate will take ownership of specific areas of...Temporary workWork at officeFlexible hours$120k - $160k
Job DescriptionAbout AcrisureA global fintech leader, Acrisure empowers millions of ambitious businesses and individuals with the right solutions to grow boldly forward. Bringing cutting-edge technology and top-tier human support together, we connect clients with customized...Immediate startFlexible hours- Posted 2 days agoReinsurance Pricing Actuary opening in NY/NJ/PA. Perform pricing for a wide variety of US and Canadian Property, Casualty, and Professional Treaty reinsurance products written on Excess of Loss and Proportional bases; collaborate extensively with underwriters...
$110.5k - $202.7k
Job ID: 1417994433Location: New York, NY, US, 10001-8604Salary: $110,500 - $202,700Job Function: Risk ConsultingEmployer: EY Global ServicesApply by: 2026-08-31Company: EYLocation: New York, Chicago, Hartford, Philadelphia, BostonAt EY, we’re all in to shape your future...Summer holidayWorldwideFlexible hours- Description Support the North American Specialty (NAS) Environmental business's profit, growth and operational objectives by performing advanced actuarial pricing analyses. The role will involve working closely with the Senior Actuary and Underwriters to understand drivers...Local area
$129.84k - $194.76k
...07-23Location: New York, New York, United StatesSalary: $129,840.00 - $194,760.00Category: Risk Management, ProfessionalCompany: CitiCiti is looking for a Vice President, Credit Risk - Alternatives to join our Institutional Credit Management (ICM) team as a counterparty...Full timeWork at officeLocal areaRemote work- Posted 4 days agoExciting P&C Actuary opportunity in NYC. Lead pricing, reserving, profitability analysis, and captive feasibility studies involving (primarily) Commercial General Liability, Auto, and Workers Compensation as well as some Property, D&O, and E&O. Ideal candidate...
- Posted 4 days agoSenior P&C Consulting Actuary opening in Atlanta, Boston, Charlotte, Chicago, Dallas, Houston, Los Angeles, Montreal, New York, or Philadelphia. Manage client projects involving your choice of Reserving, Pricing, and/or Capital Modeling. Consult to (re)...
$120k - $135k
...provider designed from the ground up to help businesses tackle cyber risk head on. By combining industry-leading insurance with world-... ...should join our Actuarial Pricing team:As an Senior Actuarial Analyst on the Pricing team, you will be working under the risk function...- Posted 3 days agoRisk Management (ERM) Actuary opening in CT, GA, NJ, or NY. Lead portfolio risk assessment, pricing adequacy analysis, ceded reinsurance facilitation, and financial risk evaluation for Excess & Surplus business; collaborate with Actuarial, Underwriting...
$140k - $175k
Actuary - US ProgramsAt AIG, we are reimagining the way we help customers to manage risk. Join us as an Actuary - US Programs to take on key responsibilities within a world-class actuarial function.Make your mark in the Actuarial TeamAs an actuary at AIG, you will be challenged...Full timeWork at officeShift work- Posted 4 days agoSenior Reserving Actuary opening in NY/NJ/PA. Lead team in conducting and overseeing loss reserve analyses for all Property & Casualty lines, including monitoring actuarial methodology, tools, and systems as well as financial reporting under Statutory, ...
Do you want to receive more vacancies?
Subscribe and receive similar vacancies to Credit Risk Analyst. Be the first to apply!

