Senior Capital Markets & Credit Analytics Analyst
Job in
San Francisco, San Francisco County, California, 94199, USA
Listed on 2026-01-20
Listing for:
GoodLeap, LLC
Full Time
position Listed on 2026-01-20
Job specializations:
-
Finance & Banking
Risk Manager/Analyst, Financial Analyst, Financial Consultant, Corporate Finance
Job Description & How to Apply Below
Good Leap is a technology company delivering best-in-class financing and software products for sustainable solutions, from solar panels and batteries to energy-efficient HVAC, heat pumps, roofing, windows, and more. Over 1 million homeowners have benefited from our simple, fast, and frictionless technology that makes the adoption of these products more affordable, accessible, and easier to understand. Thousands of professionals deploying home efficiency and solar solutions rely on Good Leap’s proprietary, AI-powered applications and developer tools to drive more transparent customer communication, deeper business intelligence, and streamlined payment and operations.
Our platform has led to more than $27 billion in financing for sustainable solutions since 2018.
Good Leap is also proud to support our award-winning nonprofit, Give Power, which is building and deploying life‑saving water and clean electricity systems, changing the lives of more than 1.6 million people across Africa, Asia, and South America.
Sr. Capital Markets & Credit Analytics Analyst
This core contributor to Good Leap’s capital markets performance, capital strategy, and underwriting execution blends quantitative analysis, credit modeling, and financial insight to support data‑driven decisions across the company’s suite of lending products. The role requires exceptional attention to detail, comfort working with complex datasets, and the ability to translate analytical findings to inform capital market behavior and optimize credit and operations strategy.
Essential
Job Duties and Responsibilities
• Analysis:
Develop, refine and optimize credit and underwriting strategies across Good Leap’s product lines, aligned with investor guidelines, regulatory expectations, and internal strategy. Perform portfolio analytics to evaluate performance trends, risk patterns and segmentation outcomes. Produce data-driven dashboards, research reports and presentations for senior stakeholders and external partners.
• Market Research:
Analyze macroeconomic trends, competitive benchmarks, and capital market indicators to inform policy and capital strategy. Monitor regulatory developments and policy developments impacting consumer lending and integrate relevant updates into analytical work streams.
• Cross-functional Engagement:
Serve as primary point of contact for policy questions, exception review insights, and investor driven guideline questions. Partner with Treasury, Risk Management, and Business Intelligence to maintain high data integrity, audit trails and consistent documentation.
• Financial Modeling:
Build and maintain financial and credit risk models for valuation, forecasting capital transactions and scenario simulations.
• Credit Delivery:
Be tactical product owner for credit policy execution, including signing off on QA/UAT testing and releases. Translate credit changes into decision logic for credit engine and operational workflows.
Required Skills, Knowledge and Abilities
• Minimum bachelor's (or advanced) degree
• 4–6 years of experience
• Strong proficiency in SQL and Python; familiarity with Tableau is a plus
• Expert in Microsoft Excel (advanced functions, modeling, automation) and Power Point
• Experience with cloud or distributed computing environments (e.g. Databricks, Snowflake) is a strong plus
• Foundation in consumer credit analytics—credit bureaus, scorecards, risk segmentation, loan lifecycle, and credit performance metrics
• Ability to work across simultaneous projects and tight deadlines in an agile, fast-paced environment
• Exceptional attention to detail, intellectual curiosity, and eagerness to learn new analytical tools and credit concepts
• Knowledge of consumer finance concepts, including credit risk modeling, loan lifecycle, and performance metrics
• Strong communication skills—capable of simplifying technical findings for diverse audiences (executives, investors, engineers)
• Understanding structured finance, capital markets, and investor reporting concepts is beneficial
Compensation
$105,000 - $140,000 annually
Additional Information Regarding
Job Duties and
Job Description s
Job duties include additional…
Position Requirements
10+ Years
work experience
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