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Credit Portfolio Risk Analyst

Job in New York, New York County, New York, 10261, USA
Listing for: SMBC
Full Time position
Listed on 2026-06-21
Job specializations:
  • Finance & Banking
    Risk Manager/Analyst, Financial Analyst, Financial Compliance
Salary/Wage Range or Industry Benchmark: 69000 - 85000 USD Yearly USD 69000.00 85000.00 YEAR
Job Description & How to Apply Below
Location: New York

The anticipated salary range for this role is between $69,000.00 and $85,000.00. 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.

Role Description

SMBC is seeking a highly analytical and detail-oriented Credit Portfolio Analyst to support the Risk Identification () and Risk Appetite processes for the Americas Division (AD). This role is a key contributor to materials for internal risk committees and regulators, translating complex portfolio data, stress testing outputs, and strategic business considerations into clear, actionable risk appetite metrics and limits for senior management.

The position requires strong analytical capabilities, sound credit risk knowledge, and the ability to deliver concise, well-structured executive presentations.

Role Objectives:
Delivery Portfolio Analytics & Reporting
  • Assist in the development, implementation, and ongoing enhancement of the credit risk identification framework and processes
  • Analyze credit portfolio trends, concentrations, rating migration, and emerging risks; support identification of thematic vulnerabilities across the AD portfolio
  • Participate in material risk forums to review, challenge, and assess risk impacts, and prepare governance and regulatory meeting materials
  • Support development, calibration, and monitoring of Risk Appetite metrics and limits, incorporating stress testing outputs and compliance results
  • Translate complex data and analytics into clear, actionable risk narratives for senior stakeholders
  • Contribute to Risk Appetite updates and enhancements, ensuring consistency in scope and methodology with HO and regional frameworks
Data, Infrastructure & Controls
  • Support the ownership of end‑to‑end credit risk reporting data pipeline, including data source, transformation, validation, and aggregation across multiple internal systems
  • Work with Stress Testing and Model teams to support the refinement of risk identification methodologies, including materiality assessment approach
  • Collaborate with the Data team to improve data controls and communicate enhanced approaches and methodologies, ensuring consistency in definitions and calculations for Risk Appetite reporting
Governance, Regulatory & Process Support
  • Support credit risk governance processes, including committee materials, approvals, and action-item tracking
  • Recommend improvements to increase efficiency, transparency, and consistency of portfolio reporting
Role Objectives:
Interpersonal
  • Strong attention to detail and high standards for accuracy and data quality
  • Curious and willing to dig into underlying drivers of portfolio changes
  • Able to manage multiple recurring deadlines and prioritize effectively
  • Self-starter who takes ownership while collaborating closely with team members and stakeholders
  • Professional, organized, and motivated to improve processes and the clarity of risk communication
Role Objectives:
Expertise
  • Solid understanding of credit risk concepts including internal ratings, risk appetite, criticized assets and watchlists, and governance frameworks
  • Experience working with large data sets and portfolio-level metrics
  • Advanced Excel skills (data manipulation, pivot tables, complex formulas);
    Proven PowerPoint skills for executive-ready presentations
  • Strong written and verbal communication skills, with the ability to synthesize complex analysis into concise messages
  • Bachelor’s degree in Finance, Economics, Accounting, Mathematics, Statistics, or a related analytical field
Qualifications and Skills
  • 1-2 years of relevant experience in credit risk analytics, portfolio management, or risk reporting at a bank or large financial institution
  • Experience in a U.S. regulatory environment (Federal Reserve, OCC, or similar) or at a foreign banking organization
  • Professional certifications or coursework in risk management, credit analysis, or data analytics (FRM,…
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