





Tier-1 bank, metro location, mid-level credit role attracts many qualified applicants.
Bank credit risk specialization, regulatory CECL/CCAR focus, and portfolio skills limit cross-industry transferability.
Explicit 4+ years credit risk experience, CECL/CCAR familiarity, and credit-policy expertise enforce strict filtering.
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Lead moderately complex credit risk initiatives focusing on Wholesale credit portfolio, including risk mitigation strategies and loss forecasting.
Review and analyze credit risk factors, portfolio trends, and emerging risks to support risk appetite and capital optimization.
Develop and deploy analytical tools, support stress testing and regulatory credit processes, and provide subject matter expertise to stakeholders.
4+ years of Credit Risk experience or equivalent through work experience, training, military experience, or education.
Ability to work overlapping hours with US team (Shift 1:30-10:30 pm).
Strong commercial credit analysis skills and Microsoft Excel proficiency.
Master's degree or higher in finance, accounting, business, or quantitative discipline.
Experience with corporate credit, credit research, portfolio management, and knowledge of debt markets and credit products.
Skilled at analyzing complex credit strategies and policies with significant impact on credit risk appetite and culture.
Capable of developing data-driven insights, customized reports, and clear communication to influence business partners and senior management.