Senior Analyst - Credit Risk & Portfolio Management
Job in
Silver Spring, Montgomery County, Maryland, 20900, USA
Listed on 2025-12-02
Listing for:
Turn2Partners
Full Time
position Listed on 2025-12-02
Job specializations:
-
Finance & Banking
Financial Analyst, Risk Manager/Analyst, Corporate Finance, Financial Consultant
Job Description & How to Apply Below
Senior Finance Analyst - Credit Risk & Portfolio Management
Base Pay Range: $85,000.00/yr - $/yr
Compensation: $85,000 - $100,000k + Bonus
Job Overview: Our client, a growing commercial lender and specialty finance institution, is expanding rapidly and hiring a Senior Finance Analyst to support the continued growth of its lending portfolio. The role will support the deal team in managing credit risk, underwriting and amendment work, portfolio monitoring, and other ad‑hoc reporting and projects. We offer a competitive compensation package (base + bonus) and hybrid work flexibility within a top‑ranked organization noted for culture, innovation, and sustained portfolio growth.
Key Responsibilities:- Portfolio & Credit Analysis: Review borrower financials and key performance trends to assess credit quality, identify risks, and develop recommendations for management.
- Financial Modeling: Build and maintain models to forecast borrower performance, evaluate repayment capacity, and support loan renewals or modifications.
- Deal Execution Support: Partner with underwriting and finance teams to analyze new transactions, review loan documentation, and support deal closings.
- Credit Monitoring: Manage daily activity for assigned loans, ensuring covenant compliance and timely reporting of portfolio performance.
- Risk Reporting: Prepare internal memos, dashboards, and credit reports for senior management and loan committee presentations.
- Client Interaction: Serve as a point of contact for portfolio clients, coordinating financial reporting and ongoing communication.
- Cross‑Team
Collaboration:
Work closely with teams across lending, finance, and operations to streamline portfolio analysis and credit reporting.
Experience:
Required:
- Bachelor’s degree in Accounting, Finance, or related field.
- 1–4 years of experience in audit/assurance, credit analysis, underwriting, corporate FP&A, or structured finance.
- Strong financial statement analysis and Excel skills.
- Excellent communication and analytical thinking abilities.
- Interest in corporate finance, lending, and credit strategy.
Preferred:
- Big 4 audit or assurance experience with exposure to financial institutions or capital markets.
- Familiarity with financial modeling, Power BI, or data analytics tools.
- Prior experience in portfolio management or commercial lending a plus.
Position Requirements
10+ Years
work experience
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