Job Purpose and Responsibilities:

Job Purpose: The Credit Risk Analyst will support the Credit Risk team by performing credit reviews on a variety of customers.  Activities will include financial statement analysis and credit scoring, Market research & analysis, and securities management. Analyst will collaborate with internal and external teams to ensure limits are approved and monitored.

Primary Duties will include:

  • Assesses the credit risks and financial strength of new and existing counterparties while continually monitoring appropriate industry sector developments.
  • Negotiates and administers the exchange of corporate guarantees, netting agreements, and Letters of Credit, used to mitigate counterparty risk.
  • Monitors and manages counterparty credit exposures on regular basis to ensure compliance with established credit limits.
  • Approves thresholds and sets limits for OTC trading activity and contract limits for futures.
  • Maintains current knowledge of relevant contractual procedures and practices.
  • Negotiates financial agreements utilizing International Swap Dealers Association (ISDA).
  • Collaborates with the Risk Desk on collections of bad debt resolution.
  • Provides monthly credit reporting to Risk Management Committee.
  • Ensures compliance with regulatory practices and corporate policies.
  • Support the development and testing of credit systems, reports and processes.
  • Builds and sustains professional relationships with both internal and external customers.
  • Maintains prompt and regular attendance.
  • This list of duties and responsibilities is not intended to be all-inclusive and can be expanded to include other duties or responsibilities that management deems necessary.

Qualifications

Qualifications: 

Required: 

  • Up to 3 years of credit or financial analysis experience.
  • Background in credit analysis and/or financial statement analysis, preferably within the trading/capital markets or with a financial institution.
  • Strong organizational, analytical, and problem-solving skills.
  • Excellent written and verbal communication and presentation skills.
  • Experience with credit risk management tools and techniques.
  • Basic knowledge of capital markets and futures/options

Preferred: 

  • FINRA professional designations (SIE, S7) is a plus.

Education/Certification:

  • Bachelor’s Degree in Business (Accounting, Finance or Business Analytics preferred).

Working Environment: 

  • Hybrid: 3 days per week onsite, 2 days per week remote 
  • Must be authorized to work in the US for any employer.

Apply for this job online

You May Also Like

SAP EWM

Hiring_SAP EWM_12+ months Rolling Position_Infosys. Location: PAN India 100% Remote. Payroll Company:…

Product Management Internship – Summer 2025

As a Qualcomm Product Management intern, you will assist in business operations by gathering…

Environmental Data Management Specialist-Hybrid-USA

As an Environmental Data Management Specialist, you’ll deliver complex technical solutions applying your…

Contract Senior Analyst

Key Responsibilities Support contract management teams across projects and accounts; work with…

Rapid Response Director, YouTube Trust and Safety

About the job As a Rapid Response Director, you are a critical…

Shofer Limousine

Career in Shofer Driver Start a Successful Career as Shofer Driver If…

Incident Manager

Description The Georgia Department of Behavioral Health and Developmental Disabilities (DBHDD) is…

𝐌𝐚𝐧𝐚𝐠𝐞𝐦𝐞𝐧𝐭 𝐓𝐫𝐚𝐢𝐧𝐞𝐞 𝐚𝐧𝐝 𝐌𝐚𝐧𝐚𝐠𝐞𝐫

𝐆𝐄𝐍𝐏𝐀𝐂𝐓 𝐈𝐒 𝐇𝐈𝐑𝐈𝐍𝐆 We are inviting applications at 𝐆𝐄𝐍𝐏𝐀𝐂𝐓 for the position of…