Senior Fund Accountant - Private Credit - strong project management and operational improvement experience Beta-Search, IncSenior Fund Accountant - Private Credit - strong project management and operational improvement experienceNew York, NY$68–$82 / hourContractorThis consultant will serve as a senior operational resource responsible for strengthening fund accounting processes, improving administrator performance, reducing operational dependencies, and leading remediation efforts across the Books & Records environment. Seeking a Senior Fund Accounting Consultant to provide leadership across Books & Records, NAV oversight, and operational transformation initiatives supporting Private Credit investment strategies.
NewVice President / Director, Credit Analyst (Mortgage Sector) AxelonVice President / Director, Credit Analyst (Mortgage Sector)New York, NY$65–$72 / hourServe as a technical subject-matter expert on agency residential and commercial MBS, TBA, CMO, and DUS products for the Institutional Credit Analyst Team, Sales, and Trading teams. Collaborate with internal stakeholders, including coverage bankers, business lines, and risk teams, to provide credit expertise and support.
Senior Third Party Risk Management Analyst United Nations Federal Credit UnionSenior Third Party Risk Management AnalystNew York, NY$105,000 / yearSupport the TPRM framework to ensure alignment with organizational objectives and regulatory requirements, with primary responsibility for tracking of end to end third party risk assessment process, which includes risk reviews, documenting findings in the risk register, coordinating follow-ups with the third parties and the business unit owners, and facilitating the collaboration and documentation of the related risk acceptance with the business unit owner.• • Collaborate with business unit owners to communicate findings, develop risk mitigation strategies, and provide insights that support the TPRM Framework.• Support ongoing monitoring and risk-remediation activities by assisting in tracking vendor exceptions and issues, updating risk profiles, and documenting remediation steps.•
VP Financial and Strategic Risk Management United Nations Federal Credit UnionVP Financial and Strategic Risk ManagementNew York, NY$200,000 / yearFull timeFinancial Risk Oversight• Provide second-line oversight of key financial risks, including capital, liquidity, interest rate, credit, and funding risks, while overseeing KRIs and risk metrics to ensure alignment with risk appetite, consistent reporting, and timely escalation of threshold breaches.• Strategic Risk Oversight• Oversee and independently challenge strategic risks arising from business initiatives, growth plans, funding strategies, external dependencies, and changing market conditions, ensuring risks are identified early and incorporated into decision-making.•
US Investment Grade Credit Research, AVP BarclaysUS Investment Grade Credit Research, AVPNew York, NYYou may be assessed on the key critical skills relevant for success in this role, such as risk and controls, change and transformation, business acumen, strategic thinking, digital and technology, as well as job specific technical skills. In this role, you will focus on evaluating energy issuers, developing forward‑looking credit views, and delivering actionable insights that directly support portfolio construction and risk management.
Corporate Credit Ratings Officer Page GroupCorporate Credit Ratings OfficerNew York, NY$130,000–$220,000 / yearFull timeThe Corporate Credit Ratings Analyst will play a pivotal role in analyzing financial data, assessing creditworthiness, and providing insights to support decision-making within the not-for-profit sector. This individual will be responsible for analysing the creditworthiness of corporates across sectors, driving rating committee decisions, and engaging with senior stakeholders including issuers, investors, and internal leadership.
Senior Site Reliability Engineer - AVP - Credit Trade Floor BarclaysSenior Site Reliability Engineer - AVP - Credit Trade FloorNew York, NYTo be successful as a Senior Site Reliability Engineer - AVP - Credit Trade Floor, you should have: Demonstrated ability to manage incidents effectively, including rapid troubleshooting, solution-oriented stakeholder communication, and conducting root cause analysis (RCA) to prevent recurrence. Analysis of system logs, error messages and user reports to identify the root causes of hardware, software and network issues, and providing a resolution to these issues by fixing or replacing faulty hardware components, reinstalling software, or applying configuration changes.
Director - Investment Grade Credit Sales Stonex GroupDirector - Investment Grade Credit SalesNew York, NY$120,000–$300,000 / yearWith 4,300 employees and over 400,000 retail and institutional clients from more than 80 offices spread across five continents, we’re a Fortune-100, Nasdaq-listed provider, connecting clients to the global markets – focusing on innovation, human connection, and providing world-class products and services to all types of investors. Institutional: Immerse yourself in the best-in-class institutional-grade technology, working alongside industry experts and gaining exposure to various asset classes, such as equities, options, fixed income securities, and advanced trading, research, and management technology.
AVP Acquisition Credit Strategies BarclaysAVP Acquisition Credit StrategiesNew York, NYTo use innovative data analytics and machine learning techniques to extract valuable insights from the banks data reserves, leveraging these insights to inform strategic decision-making, improve operational efficiency, and drive innovation across the organisation. To be successful as an AVP Acquisition Credit Strategies, you should have: Experience in developing and monitoring underwriting and credit line assignment strategies for lending products (credit card experience preferred).
VP Project Finance Credit Officer Page GroupVP Project Finance Credit OfficerNew York, NY$165,000–$240,000 / yearFull timeThis role focuses on independent credit oversight, partnering closely with front-office teams to evaluate, structure, and approve complex financings. Knowledge of infrastructure and energy markets, including evolving trends in renewables and digital assets.
Managing Director, Client Portfolio Management New York Life Insurance CompanyManaging Director, Client Portfolio ManagementNew York, NY$250,000–$300,000 / yearNYL PFI is a leading capital provider in the private placement and asset backed finance industries The primary focus of NYL PFI is the origination and management of corporate and infrastructure related debt investments across a variety of sectors, including expertise in sports, REIT, healthcare and utility industries. With over 60 years in business, New York Life Private Fixed Income (“NYL PFI”) is the Private Placement and Asset Backed investment arm of New York Life Investment Management (“NYLIM”), which is a wholly owned subsidiary of New York Life Insurance Company (“New York Life”).
NewManager or Senior Manager - Renewable Energy Credits (AMCS) KPMGManager or Senior Manager - Renewable Energy Credits (AMCS)New York, NY$105,640–$223,100 / yearResponsibilities: Develop and provide technical expertise in federal Inflation Reduction Act (“IRA”) tax credits, including but not limited to, the full lifecycle of technical issues related to Investment Tax Credits (48/48E), Production Tax Credits (45/45Y), Clean Hydrogen (45V), Carbon Capture (45Q), Clean Fuels (45Z), Advanced Manufacturing (45X), and other credits introduced or modified under the IRA, as well as beginning of construction, placed-in-service, and tax fixed asset capitalization determinations and planning. Additional Qualifications for Senior Manager: Minimum eight years of recent experience in a public accounting firm, law firm, engineering firm, or other federal taxation experience; experience with renewable or energy-related tax credits required; preferred qualifications include federal tax planning with three years of relevant experience with IRA tax credits within a public accounting firm, law firm, engineering firm, or other federal tax function.
NewManager or Senior Manager - Credits, Grants, and Incentives (AMCS) KPMGManager or Senior Manager - Credits, Grants, and Incentives (AMCS)New York, NY$105,640–$223,100 / yearWork as part of a multi-disciplinary team todeliver Credits and Incentives consulting services, including but not limitedto identifying and securing cash grants, income tax credits, payroll withholdingtax credits, sales tax reductions, property tax abatements, training grants andcredits, infrastructure funding, and utility discounts/rebates; Contribute tobuilding practice infrastructure and expertise. Bachelor's degree from an accreditedcollege/university; Licensed CPA, EA or JD/LLM, in addition toothers on KPMG's approved credential listing; any individual who does notpossess at least one of the approved designations/credentials when theiremployment commences, has one year from their date of hire to obtain at leastone of the approved designations/credentials; should you like to see thecomplete list of currently approved designations/credentials for the hiringpractice/service line, your recruiter can provide you with that list.
Director, Loan Management New York Life Insurance CompanyDirector, Loan ManagementNew York, NY$150,000–$165,000 / yearLead, mentor, and develop a team of analysts responsible for the review and execution of borrower requests, including lease approvals, reserve disbursements, ownership transfers, insurance claims, easement requests, guaranty releases, and collateral substitutions, while building technical expertise in underwriting, loan administration, and credit analysis and supporting professional development. This role requires deep expertise in commercial real estate credit, strong leadership in managing and developing asset management professionals, and a proven ability to design and execute process improvement initiatives that drive efficiency and accuracy across operations.
NewWealth Advisor - PNC Wealth Management PNC Financial Services GroupWealth Advisor - PNC Wealth ManagementFort Lee, NJ$75,000–$125,000 / yearIn addition, PNC generally provides the following paid time off, depending on your eligibility: maternity and/or parental leave; up to 11 paid holidays each year; 9 occasional absence days each year, unless otherwise required by law; between 15 to 25 vacation days each year, depending on career level; and years of service. PNC Employees take pride in our reputation and to continue building upon that we expect our employees to be: Customer Focused - Knowledgeable of the values and practices that align customer needs and satisfaction as primary considerations in all business decisions and able to leverage that information in creating customized customer solutions.
AR Analyst AtriumAR AnalystEast Brunswick, NJ$60,000–$65,000 / yearWith a collaborative Finance team and a fast-paced environment, they are seeking an experienced AR Analyst to support accounts receivable operations, customer account management, and cash collections efforts. The AR Analyst is responsible for managing customer account balances, monitoring aging, researching discrepancies, and ensuring the timely collection of outstanding receivables.
Technical Business Analyst-Credit Risk/Counterparty Risk Experience ConfidentialTechnical Business Analyst-Credit Risk/Counterparty Risk ExperienceNew York, NYContractorp tabindex="0">We are seeking a seasoned Counterparty Credit Risk (CCR) Technical Business Analyst to support stability, enhancement, and continuous improvement of technology platforms serving Exposure Management (EM), Credit Risk Reporting (CRR), Risk Analytics (RA), Front Office, and Regulatory Reporting functions.
Credit Analyst Oversea-Chinese Banking Corporation LimitedCredit AnalystNew York, NY$101,250–$120,000 / yearFull timePartner with Loan Administration and outside counsel in the preparation, review, and approval of loan documentation to ensure the documents meet agreed upon business terms and satisfy the specific requirements of the appropriate credit approval authority. Assist in the presentation of fully completed and analyzed credit approval memos for submission to the bank's credit risk managers.
Vice President - Credit & Portfolio Management (CPM) Project Finance BNP Paribas SAVice President - Credit & Portfolio Management (CPM) Project FinanceNY$165,000–$185,000 / yearBusiness Overview: Energy, Resources & Infrastructure (ERI) provides advisory services, arranges, structures and advances non-recourse (or limited recourse) loans aka Project Finance loans for client activities including power and energy; renewables, such as wind, solar, batteries and bio-fuel; and infrastructure including digital infrastructure, data centers etc. We employ talented individuals from a wide variety of backgrounds, locally and globally, and are inspired by our employees who help us in cultivating a diverse, equitable and inclusive workplace through initiatives such as our Diversity, Equity & Inclusion (DEI) Leadership Forum and Employee Resource Group (ERG) communities.
Associate Managing Consultant - Advisors & Consulting Services (S&T) - Credit Risk Management Focus Mastercard IncAssociate Managing Consultant - Advisors & Consulting Services (S&T) - Credit Risk Management FocusPurchase, NYAll activities involving access to Mastercard assets, information, and networks comes with an inherent risk to the organization and, therefore, it is expected that every person working for, or on behalf of, Mastercard is responsible for information security and must: Abide by Mastercard's security policies and practices; Ensure the confidentiality and integrity of the information being accessed; Report any suspected information security violation or breach, and. Credit Risk Focus: This role will serve as an advisor and go-to person for credit risk management, leading credit risk management consulting engagements, supporting sales and product development/refinement as needed, and focused on knowledge sharing and development of team members.
Head of Letter of Credit Management American International Group Inc (AIG)Head of Letter of Credit ManagementNY$83,000–$103,000 / yearRole Overview: The Head of Letter of Credit Management is responsible for leading the end-to-end governance, administration, and oversight of the organization's Global Letter of Credit (LOC) portfolio. Oversee lifecycle management of LOC transactions including Issuance, amendments and increases, Decreases and cancellations and Expiry monitoring and renewals.
Portfolio Credit Risk Management 2nd LOD Senior Lead Analyst Citigroup IncPortfolio Credit Risk Management 2nd LOD Senior Lead AnalystLong Island City, NY$198,900–$233,557.54 / yearRequirements: Requires a Master's degree, or foreign equivalent, in Finance, Actuarial Science or related field and 8 years of experience as a Risk Policy Manager, Risk Portfolio Manager, Risk Manager Payroll Portfolio, Credit Portfolio Group Manager, Credit Portfolio Senior Manager, Credit Portfolio Manager, Mortgage Models Senior Analyst, Scoring & Credit Policy Analyst, or related position involving Consumer Risk and Portfolio Management for a global financial services institution. Additionally, 2 years of experience must include: Preparing and communicating Senior Management materials, providing insights for Consumer Credit Risk Portfolios and Strategies; Contributing to the quarterly forecast process; Setting and operational policies and procedures; Working with institutional clients based in Mexico and the U.S. and Developing Loss Benchmarks curve methodology for Consumer products.
Asset Management - Special Situations Credit Analyst - Associate JPMorgan Chase Bank, N.A.Asset Management - Special Situations Credit Analyst - AssociateNew York, NYFull timeOur history spans over 200 years and today we are a leader in investment banking, consumer and small business banking, commercial banking, financial transaction processing and asset management. JPMorganChase, one of the oldest financial institutions, offers innovative financial solutions to millions of consumers, small businesses and many of the world's most prominent corporate, institutional and government clients under the J.P.
Asset Management - Securitized Credit Research Analyst - Vice President JPMorgan Chase Bank, N.A.Asset Management - Securitized Credit Research Analyst - Vice PresidentNew York, NYFull timeGFICC manages a broad range of strategies, through funds and/or separate accounts, including investment grade credit, high yield, emerging market debt, unconstrained and aggregate strategies, long duration, stable value, FX, short duration, global bonds, structured products, mortgages and tax-aware strategies. Morgan Asset Management is one of the world's deepest and best-resourced fixed income managers, with expertise across all major fixed income sectors, including niche markets.
GCIB - Credit Portfolio Management - Enterprise Valuation Analyst Mitsubishi UFJ Financial GroupGCIB - Credit Portfolio Management - Enterprise Valuation AnalystNew York, New YorkAdditionally, our Total Rewards program provides colleagues with a competitive benefits package (in accordance with the eligibility requirements and respective terms of each) that includes comprehensive health and wellness benefits, retirement plans, educational assistance and training programs, income replacement for qualified employees with disabilities, paid maternity and parental bonding leave, and paid vacation, sick days, and holidays. In addition to valuations, the team is called upon to handle (i) a variety of ad hoc and recurring analysis related to portfolio monitoring and reporting and (ii) valuation training to enhance the competencies of the team as well as employees outside the Enterprise Valuation team that align with one of MUFG’s core value of talent development and knowledge sharing.
NewAsset & Wealth Management, Private Credit, Strategic Capital Management, Vice President, New York The Goldman Sachs Group IncAsset & Wealth Management, Private Credit, Strategic Capital Management, Vice President, New YorkNew York, NY$125,000–$290,000 / yearGoldman Sachs Asset Management Private Credit is one of the world's largest and longest-standing alternative credit investing platforms with approximately $100bn of AUM and 160 investment professionals based in the US, Europe, Asia and Australia. GS Private Credit is a dynamic platform with significant cross-pollination across strategies - investment grade, direct lending (middle market and large cap performing credit), opportunistic and structured investments across debt and equity.
NewGCIB - Credit Portfolio Management - Enterprise Valuation Analyst MUFG Americas Holdings CorpGCIB - Credit Portfolio Management - Enterprise Valuation AnalystNew York, NY$90,000–$105,000 / yearAdditionally, our Total Rewards program provides colleagues with a competitive benefits package (in accordance with the eligibility requirements and respective terms of each) that includes comprehensive health and wellness benefits, retirement plans, educational assistance and training programs, income replacement for qualified employees with disabilities, paid maternity and parental bonding leave, and paid vacation, sick days, and holidays. In addition to valuations, the team is called upon to handle (i) a variety of ad hoc and recurring analysis related to portfolio monitoring and reporting and (ii) valuation training to enhance the competencies of the team as well as employees outside the Enterprise Valuation team that align with one of MUFG's core value of talent development and knowledge sharing.
Credit Management / Loan Administration Officer (Mandarin Required) Madison-DavisCredit Management / Loan Administration Officer (Mandarin Required)New York, NYThe team is looking for someone detail-oriented and operationally strong who can work cross-functionally with credit, risk, and technology teams while helping maintain the integrity of internal loan management processes and reporting infrastructure. Strong exposure to portfolio management operations, regulatory reporting support, and credit systems oversight makes this an excellent opportunity for candidates coming from loan administration, credit operations, or portfolio support backgrounds.
Credit and Collateral Management Transaction Manager Cooperatieve Rabobank UACredit and Collateral Management Transaction ManagerNY$130,000–$165,000 / yearThe range is reflective of the desired primary physical work location and may be adjusted outside of the projected range based on geographical differentiation if the actual work location of the hired candidate differs from the desired primary location, or for other lawful reasons. Credit and Collateral Management (CCM) is an important support function that supports the Banks TCF Lending initiatives by providing a specialized and expert facility and transaction approval and monitoring function for the Banks commodity customers.
Risk Management - Credit Risk Insurance - Executive Director JPMorgan Chase Bank, N.A.Risk Management - Credit Risk Insurance - Executive DirectorNew York, NYFull timeDeep familiarity with corporate banking products, treasury management, capital markets, structured finance, corporate finance, and derivatives, including related documentation; experience negotiating loan and trading documentation is required . Our history spans over 200 years and today we are a leader in investment banking, consumer and small business banking, commercial banking, financial transaction processing and asset management.
Analyst/Associate, Credit & Multi-Asset Solutions, Fundraise Management Brookfield CorpAnalyst/Associate, Credit & Multi-Asset Solutions, Fundraise ManagementNY$105,000–$150,000 / yearJob Description: The Global Client Group is seeking an Analyst / Associate - Credit & Multi-Asset Solutions, Fundraise Management, to work with the Brookfield's Credit and Investment Solutions platforms on a range of activities including assisting with the development and management of new credit solutions/strategies as well as supporting marketing and fundraising activities across Brookfield's existing credit products. The successful candidate will support the team leading the project management of the multi-asset and asset-based finance strategies on all product management, strategy and client proposal initiatives across commingled funds, single sector separately managed accounts and multi-asset proposals.
Credit and Collateral Management Transaction Manager Rado BankCredit and Collateral Management Transaction ManagerNew York, New YorkThe range is reflective of the desired primary physical work location and may be adjusted outside of the projected range based on geographical differentiation if the actual work location of the hired candidate differs from the desired primary location, or for other lawful reasons. Credit and Collateral Management (CCM) is an important support function that supports the Bank’s TCF Lending initiatives by providing a specialized and expert facility and transaction approval and monitoring function for the Bank’s commodity customers.
Asset Management, Highbridge, Relative Value Credit Derivative Trader JPMorgan Chase Bank, N.A.Asset Management, Highbridge, Relative Value Credit Derivative TraderNew York, NYFull timeThis is a unique opportunity for an entrepreneurial and highly skilled trader to partner directly with the firm's Co-Chief Investment Officers (CIOs) and Chief Risk Officer (CRO) in shaping a strategy that targets market inefficiencies and cross-capital structure dislocations, with a primary focus on the US and selective opportunities in Europe. The strategy will employ both long and short positions across corporate credit, credit derivatives, and interest rate derivatives, with flexibility to trade single-name credit relative to indices, as well credit, equity and their derivatives.
Vice President, Product Management and Investor Relations, Alternative Credit Ares OperationsVice President, Product Management and Investor Relations, Alternative CreditNew York, New YorkThe successful candidate should possess the following specific competencies or attributes: Strong verbal and written communication skills, ability to communicate effectively with all levels of the organization and represent the Firm in a professional manner; Outstanding communication skills, both verbal and written; Detail-oriented with ability to multi-task; Ability to meet deadlines and perform under pressure; Highly motivated self-starter with a strong work ethic; Exceptional relationship skills -- able to establish rapport and quickly engender trust and respect with a wide range of individuals representing the spectrum of institutional and retail investors as well as consultants, and other industry contacts. Exceptional attention to detail, placing a high priority on accuracy and organization; Problem solver with ability to research solutions and suggest resolutions; Highly motivated with the ability to set priorities, multi-task and monitor own workload to meet aggressive deadlines; Takes initiative and has a strong work ethic, including proactively addressing projects at hand and improving processes; Demonstrated experience working in a team environment; Highly proficient in Excel, PowerPoint, and Word; Proficiency with Salesforce and Intralinks or other data room platform.
Asset & Wealth Management, Real Estate Investing - Credit Originations, Vice President / Senior Vice President The Goldman Sachs Group IncAsset & Wealth Management, Real Estate Investing - Credit Originations, Vice President / Senior Vice PresidentNY$150,000–$300,000 / yearKey Responsibilities: Lead and drive the origination of real estate credit investments across diverse asset classes (including industrial, multifamily, office, retail, and hospitality) and various financing structures (e.g., bridge, construction, senior-secured, subordinate debt) with a preferred track record in the Western United States. The Real Estate Investing platform within Goldman Sachs Asset Management is overseen by a global investment committee that directs the firm's strategy in real estate and approves investments in the US, Europe and APAC.
Credit Analyst III - Reg Fund/Credit Risk - Global Markets Credit Bank of America CorpCredit Analyst III - Reg Fund/Credit Risk - Global Markets CreditNY$60,800–$110,000 / yearRequired Qualifications 1 years of experience in commercial andor corporate credit risk preferably covering regulated andor alternative fund clients Ability to manage significant deal flow often on tight deadlines in a dynamic and fast-paced environmentSelf-starter with excellent communication skills problem solver with an ability to negotiate effectivelyAble to work as part of a team willing to support more junior members of the team as requiredGood quantitative and Excel based skillsDesired Qualifications Bachelors Degree in Finance Economics Accounting or similar fieldsExperience using Bloomberg or similar market data platformsUnderstanding of Global Markets suite of products market risk metrics and legal documentation. Support monitoring of adherence to industry risk governance as well as monitoring for potential operational reputational and market risk issuesCoordinate and build strong working relationship with colleagues including Sales & Trading 2nd Line Risk Credit Risk review and Audit functions and LOB management.
Analyst - PJT Park Hill (Alternative Credit/Hedge Fund - Project Management) PJT Partners IncAnalyst - PJT Park Hill (Alternative Credit/Hedge Fund - Project Management)NY$120,000–$130,000 / yearSeries 79, Series 7 or Series 63 securities licenses are preferred; Superior academic achievement; Strong analytical skills, knowledge of financial modeling and leveraged buyout analysis; Detail oriented with the ability to interact and stay in constant communication with clients; Ability to work in a fast-paced, dynamic environment and to manage multiple projects at a time under time constraints/deadlines; A self-starter, who can work effectively as part of a team and independently; Confident and self-aware with excellent interpersonal and communication skills, both written and verbal; Strong work ethic, genuine passion for excellence, results-oriented; Personal and professional integrity of the highest order; Proficiency in Microsoft Excel and PowerPoint. PJT Park Hills Alternative Credit and Hedge Fund Group offers analysts the chance to engage directly in advising best in class private credit and hedge funds on all aspects of the capital raise including advisory work, market positioning and ultimately raising capital from the top institutional investors across the globe.
Bilingual Credit Risk Associate, Portfolio Management, Japanese Corporate Banking Mitsubishi UFJ Financial GroupBilingual Credit Risk Associate, Portfolio Management, Japanese Corporate BankingNew York, New YorkAdditionally, our Total Rewards program provides colleagues with a competitive benefits package (in accordance with the eligibility requirements and respective terms of each) that includes comprehensive health and wellness benefits, retirement plans, educational assistance and training programs, income replacement for qualified employees with disabilities, paid maternity and parental bonding leave, and paid vacation, sick days, and holidays. While closely consulting with manager, communicate with credit division/administration with regard to rating rationale, facility structuring/exposures and ensure credit division provided with all credit related information and analysis pertinent to making a decision.
CRE Credit Risk (Risk Management) : Job Level - Vice President Morgan StanleyCRE Credit Risk (Risk Management) : Job Level - Vice PresidentNew York, NY$120,000–$205,000 / yearFirm Risk Management Firm Risk Management (FRM) supports Morgan Stanley to achieve its business goals by partnering with business units across the Firm to realize efficient risk-adjusted returns, acting as a strategic advisor to the Board and protecting the Firm from exposure to losses as a result of credit, market, liquidity, model and other risks. The role will reside within the Firm Risk Managements Credit Risk Management area which is a team dedicated to evaluating credit risk transactions considering the availability and appropriateness of arrangements for reducing risk or risk mitigation.
Credit Risk Management Supervisor, North America DSV Road Transport IncCredit Risk Management Supervisor, North AmericaIselin, NJ$81,000–$93,000 / yearThe position requires sound financial judgment, a solid understanding of legal enforcement processes, and the ability to manage complex risk scenarios in close collaboration with internal and external stakeholders. We are seeking a skilled and experienced Credit Supervisor with a strong focus on credit assessments and overall credit risk management, including legal collections.
Bilingual Credit Risk Associate, Portfolio Management, Japanese Corporate Banking MUFG Americas Holdings CorpBilingual Credit Risk Associate, Portfolio Management, Japanese Corporate BankingNY$90,000–$121,000 / yearAdditionally, our Total Rewards program provides colleagues with a competitive benefits package (in accordance with the eligibility requirements and respective terms of each) that includes comprehensive health and wellness benefits, retirement plans, educational assistance and training programs, income replacement for qualified employees with disabilities, paid maternity and parental bonding leave, and paid vacation, sick days, and holidays. While closely consulting with manager, communicate with credit division/administration with regard to rating rationale, facility structuring/exposures and ensure credit division provided with all credit related information and analysis pertinent to making a decision.
Credit Risk (Risk Management) : Job Level - Executive Assistant Morgan StanleyCredit Risk (Risk Management) : Job Level - Executive AssistantPurchase, New YorkOur values - putting clients first, doing the right thing, leading with exceptional ideas, committing to diversity and inclusion, and giving back - aren’t just beliefs, they guide the decisions we make every day to do what's best for our clients, communities and more than 80,000 employees in 1,200 offices across 42 countries. This role provides direct administrative support to senior management and other staff based in the Purchase office, and serves as the Office Manager for the location, partnering with internal stakeholders to ensure smooth day-to-day office operations.
Credit Risk (Risk Management) : Job Level - Associate Morgan StanleyCredit Risk (Risk Management) : Job Level - AssociateNY$100,000–$140,000 / yearFirm Risk Management (FRM) supports Morgan Stanley to achieve its business goals by partnering with business units across the Firm to realize efficient risk-adjusted returns, acting as a strategic advisor to the Board and protecting the Firm from exposure to losses as a result of credit, market, liquidity, model, and other risks. Our values - putting clients first, doing the right thing, leading with exceptional ideas, committing to diversity and inclusion, and giving back - aren't just beliefs, they guide the decisions we make every day to do what's best for our clients, communities and more than 80,000 employees in 1,200 offices across 42 countries.
Credit Risk Reporting (Risk Management) : Job Level - Associate Morgan StanleyCredit Risk Reporting (Risk Management) : Job Level - AssociateNew York, NY$100,000–$140,000 / yearThe successful candidate will work closely with the Data and AI Strategy lead and act as a force multiplier across the Fleet-helping coordinate work across squads, maintain operational discipline, and ensure strategic priorities are translated into clear, executable plans. Our values - putting clients first, doing the right thing, leading with exceptional ideas, committing to diversity and inclusion, and giving back - aren't just beliefs, they guide the decisions we make every day to do what's best for our clients, communities and more than 80,000 employees in 1,200 offices across 42 countries.
Credit Risk Management Department - Risk Analytics Model Intern Bank of China Limited, New York BranchCredit Risk Management Department - Risk Analytics Model InternNew York, New YorkInternShe/he will help collect business/development data, run credit risk ratings/CECL/Stress Test, aggregate model output, conduct data analysis, and also help document models for model risk management purpose (internal model review and audit). Our long-term outlook, institutional weight and global breadth provide our clients with a stable and reliable financial partner, whether in Corporate or Personal Banking or our Trade Services, Commodities, Financial Institutions and Global Markets lines of business.
Vice President - Commercial Real Estate Credit & Portfolio Management BNP Paribas SAVice President - Commercial Real Estate Credit & Portfolio ManagementNY$165,000–$235,000 / yearProducts include financing against portfolios of loans, such as: (i) shorter-dated (1-3 years) warehouse financing intended to support CLO take-outs, (ii) longer-dated (3-5 years) senior portfolio financing that provides leverage to credit funds, supporting them through the lifecycle of their investment strategies and (iii) bespoke financing structure against ABS/RMBS warehouses and more esoteric asset-backed facilities. We employ talented individuals from a wide variety of backgrounds, locally and globally, and are inspired by our employees who help us in cultivating a diverse, equitable and inclusive workplace through initiatives such as our Diversity, Equity & Inclusion (DEI) Leadership Forum and Employee Resource Group (ERG) communities.
Product Management & Investor Relations – Credit, Senior Associate Blue Owl Capital HoldingsProduct Management & Investor Relations – Credit, Senior AssociateNew York City, New YorkThis role will focus on investor relations activities across Credit strategies, including investor communications, reporting, and client support, while owning and driving key workstreams in partnership with Product Specialists, Investment teams, and Client Coverage to deliver high-quality investor experience. Anchored by a strong permanent capital base, we provide businesses with private capital solutions to drive long-term growth and offer institutional investors, individual investors, and insurance companies differentiated alternative investment opportunities that aim to deliver strong performance, risk-adjusted returns, and capital preservation.
Product Management & Investor Relations - Credit, Senior Associate Blue Owl Capital IncProduct Management & Investor Relations - Credit, Senior AssociateNew York City, NY$120,000–$140,000 / yearThis role will focus on investor relations activities across Credit strategies, including investor communications, reporting, and client support, while owning and driving key workstreams in partnership with Product Specialists, Investment teams, and Client Coverage to deliver high-quality investor experience. Anchored by a strong permanent capital base, we provide businesses with private capital solutions to drive long-term growth and offer institutional investors, individual investors, and insurance companies differentiated alternative investment opportunities that aim to deliver strong performance, risk-adjusted returns, and capital preservation.
Credit Risk Management - Executive Director, Americas Team Lead, Hedge Funds + Private Equity Nomura Holdings IncCredit Risk Management - Executive Director, Americas Team Lead, Hedge Funds + Private EquityNY$220,000–$260,000 / yearCollaborate with Front Office Risk and other risk functions to understand stress loss scenarios; perform ongoing monitoring including monthly/quarterly NAV reviews, performance attribution analysis, and proactive identification of deteriorating credit quality; review credit limit breaches and recommend appropriate credit actions when risk appetite thresholds are exceeded. Review and approve credit memos, ratings and limits under delegated authority; assess creditworthiness of hedge funds and private equity funds through comprehensive analysis of fund strategy, performance attribution, liquidity profile, leverage, and manager or sponsor strength.
Risk Management - Wholesale Credit Risk Loan Loss Forecasting Risk Associate JPMorgan Chase Bank, N.A.Risk Management - Wholesale Credit Risk Loan Loss Forecasting Risk AssociateJersey City, NJFull timeAs part of Wholesale Credit Risk Loan Loss Forecasting team, you will help influence loan loss estimation and collaborate with risk executives and business stakeholders across the firm to articulate methodology assumptions and forecasting outcomes for exercises including Quarterly Stress Testing (QST), Comprehensive Capital Analysis and Review (CCAR), and ad hoc risk analysis and stress limit management. Additionally, this role offers a unique opportunity to build deep expertise in various credit products, develop a strong understanding of the firm's stress testing frameworks and modeling assumptions, and help shape the future stress treatment through close partnership with the Business, Finance, and Quantitative Research teams across JPMorgan Chase.