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AVP, Credit Risk Analyst

Job in New York, New York County, New York, 10261, USA
Listing for: Cantor Fitzgerald
Full Time position
Listed on 2026-05-01
Job specializations:
  • Finance & Banking
    Risk Manager/Analyst, Financial Compliance, Financial Analyst, Credit Analyst
Salary/Wage Range or Industry Benchmark: 60000 - 80000 USD Yearly USD 60000.00 80000.00 YEAR
Job Description & How to Apply Below
Location: New York

We are seeking an experienced professional to join our Credit Risk Management team as an AVP, Credit Risk Analyst. In this role, you will play a crucial part in assessing, monitoring, and governing credit risk, ensuring compliance with internal policies and regulatory standards. Your expertise will be instrumental in maintaining the bank's risk appetite and providing objective oversight across various products and strategies.

Responsibilities
  • Perform independent credit analysis of hedge fund counter parties.
  • Review and challenge Front Office credit proposals, underwriting assumptions, and risk ratings.
  • Evaluate collateral terms, margining structures, haircuts, and legal enforce ability of credit agreements.
  • Analyze stress scenarios and monitor approved exposures for credit deterioration.
  • Conduct periodic credit reviews and trigger‑based assessments in response to market or counter party events.
  • Identify emerging risks and elevate concerns as per internal protocols.
  • Support portfolio‑level analysis, including counter party concentrations, strategy correlations, and sector exposures.
  • Assist in portfolio stress testing and scenario analysis exercises.
  • Prepare risk dashboards and materials for senior management and risk committees.
  • Ensure credit assessments align with internal policies, risk standards, and regulatory expectations.
Qualifications
  • 5‑8 years of experience in bank credit risk management, counter party credit risk, hedge fund risk oversight, or leveraged finance.
  • Strong understanding of hedge fund structures, trading strategies, and financing arrangements.
  • Solid foundation in credit risk principles, exposure measurement, and stress testing.
  • Advanced analytical and financial skills, with the ability to assess complex balance sheets.
  • Excellent written communication skills, with experience in producing formal risk memoranda.
  • Experience covering prime brokerage or hedge fund counter parties is preferred.
  • Familiarity with derivatives, Repo, Prime Brokerage, Stock Loan, Stock Borrow, and Futures is an asset.
  • Exposure to regulatory interactions and knowledge of SEC 15c3‑5 Rules is advantageous.
  • MBA, CFA, or a relevant professional qualification is preferred.
  • Strong independent judgment, attention to detail, and the ability to manage senior stakeholders.
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