Credit Risk Portfolio Associate
Listed on 2026-03-01
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Finance & Banking
Financial Analyst, Risk Manager/Analyst, Corporate Finance, Financial Compliance
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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 $84,000.00and $. 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.
RoleSummary
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- 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
- 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.
- 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…
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