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Credit Risk Lead

Job in Malvern, Chester County, Pennsylvania, 19355, USA
Listing for: Vanguard
Full Time position
Listed on 2026-08-14
Job specializations:
  • Finance & Banking
    Risk Manager/Analyst, Credit Analyst
Job Description & How to Apply Below
Location: Malvern

Credit Risk Analyst

Situated within the Global Risk & Security Division, the Counter party Risk Management Team conducts credit reviews, risk assessments, and ongoing monitoring for Vanguard's global counter parties. The Credit Risk Analyst role will primarily focus on expanding coverage of securities lending and banking relationships for the Personal Wealth (P W) Division, supporting key enterprise priorities.

This role is designed for a strong credit analyst who can pair rigorous financial statement analysis with clear, executive-ready stakeholder communication. The role covers counter parties across Vanguard's Personal Wealth Division, along with coverage of trading counter parties and brokers for the Investment Management Group ( IMG ). For approved trading counter parties, the team performs analysis and monitoring to ensure risk exposure is appropriate based on each counter party's creditworthiness, collaborates with stakeholders to manage risk exposures, and ensures Vanguard's compliance with SEC Derivatives and Liquidity Rules.

This is a unique opportunity to innovate and meet the needs of new stakeholders, while contributing to a mature risk framework.

This role is an excellent opportunity to impact portfolio risk outcomes and gain meaningful visibility with senior leadership, while building broad relationships and growing your career across Vanguard's investment and risk organizations.

Core Responsibilities
  • Perform credit due diligence of financial statements, regulatory filings, credit disclosures, news sources, and market indicators to assess counter party strength and downside risk.
  • Analyze key credit metrics, including leverage, liquidity, coverage, profitability, capitalization, and cash flow quality.
  • Continuously monitor rating agency actions, earnings updates, market events, breaking news, and spread movements to detect early signs of deterioration; evaluate risk implications of mergers, acquisitions, and other corporate actions.
  • Stay current on market structure, credit cycles, and relevant investment themes to inform risk views; use data analysis to identify trends, outliers, and emerging risk signals.
  • Conduct scenario and stress analysis to evaluate counter party resilience and downside risk under adverse market, credit, and liquidity conditions.
  • Develop a deep understanding of PW and IMG businesses. Keeps abreast of current issues in business operations and incorporates changing business needs into risk analysis.
  • Build consulting-style presentations and lead stakeholder readouts that translate complex credit findings into clear business implications and actionable recommendations.
  • Manage relationships with stakeholders with PW, IMG, legal, compliance, and finance organizations. Acts as a liaison and subject matter expert on risk topics, and influence decisions through evidence-based communication of risk insights.
  • Assess risks associated with new products and supports new implementations.
  • Produce timely updates for leadership, assessing impact of any credit health changes.
  • Partner with technology teams to enhance reporting, data quality, workflows, and controls.
  • Participate in special projects and perform other duties as assigned.
Required Qualifications
  • Minimum of five years related work experience, including three years of related credit analysis, credit research, financial statement analysis, or counter party risk experience.
  • Undergraduate degree or equivalent combination of training and experience. Graduate degree preferred.
  • Progress towards professional certification (CFA, FRM, CPA) or continued development of investment and credit risk acumen preferred.
  • Strong command of corporate financial statement analysis and credit ratio interpretation.
  • Advanced Microsoft Office skills, proficiency in Bloomberg, and analytical or programming tools such as Python. Exposure and genuine interest in leveraging AI tools.
Key Skills
  • Financial statement and ratio analysis
  • Excellent written and verbal communication; ability to adapt communication for technical and non-technical audiences.
  • Relationship management, influence, and persuasion skills.
  • A strong risk mindset and ability to communicate exposures clearly to…
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