This team supports sophisticated asset-backed securities portfolios through disciplined credit risk management, portfolio analytics, and transaction oversight. The environment is analytical ...
Quick apply
This team supports sophisticated asset-backed securities portfolios through disciplined credit risk management, portfolio analytics, and transaction oversight. The environment is analytical ...
Quick apply
This team supports sophisticated asset-backed securities portfolios through disciplined credit risk management, portfolio analytics, and transaction oversight. The environment is analytical ...
The analysis and reporting supports senior management's understanding of current risk drivers, portfolio concentrations, correlations, and potential tail risks. The Credit Reporting team is ...
The analysis and reporting supports senior management's understanding of current risk drivers, portfolio concentrations, correlations, and potential tail risks. The Credit Reporting team is ...
The analysis and reporting supports senior management's understanding of current risk drivers, portfolio concentrations, correlations, and potential tail risks. The Credit Reporting team is ...
The analysis and reporting supports senior management's understanding of current risk drivers, portfolio concentrations, correlations, and potential tail risks. The Credit Reporting team is ...
... credit and real assets and has strategic partners that manage hedge funds. KKR's insurance ... Design and enhance portfolio risk monitoring frameworks across public and private credit ...
... credit and real assets and has strategic partners that manage hedge funds. KKR's insurance ... Design and enhance portfolio risk monitoring frameworks across public and private credit ...
Manhattan, NY · On-site
$150K - $200K/yr
Client Details Leading investment manager. Description Develop, enhance, and maintain portfolio ... credit instruments. Experience with market risk methodologies including VaR, stress testing ...
Manhattan, NY · On-site
$150K - $200K/yr
Client Details Leading investment manager. Description Develop, enhance, and maintain portfolio ... credit instruments. Experience with market risk methodologies including VaR, stress testing ...
Act as direct account manager for assigned portfolio of accounts * Prepare credit analysis for quarterly and annual reviews * Assist Head of Portfolio Management in various reporting and ...
Act as direct account manager for assigned portfolio of accounts * Prepare credit analysis for quarterly and annual reviews * Assist Head of Portfolio Management in various reporting and ...
New York, NY · On-site
$109K - $163K/yr
Utilize risk management tools for the measurement, monitoring and management of exposure. * Monitor ... Portfolio Credit Risk Management Time Type: Full time Primary Location: New York New York United ...
New York, NY · On-site
$109K - $163K/yr
Utilize risk management tools for the measurement, monitoring and management of exposure. * Monitor ... Portfolio Credit Risk Management Time Type: Full time Primary Location: New York New York United ...
Manhattan, NY · Hybrid
$69K - $85K/yr
... Portfolio Risk team. This role will support CCAR, credit stress testing, and project management. The ideal candidate will combine analytical skills, knowledge of credit stress testing, and project ...
Manhattan, NY · Hybrid
$69K - $85K/yr
... Portfolio Risk team. This role will support CCAR, credit stress testing, and project management. The ideal candidate will combine analytical skills, knowledge of credit stress testing, and project ...
Manhattan, NY · On-site
$180 - $260/hr
We are seeking a Senior Vice President, Private Equity Credit Portfolio Manager to join the global ... Key Responsibilities Credit Underwriting & Risk Judgment * Assess transaction‑level and ...
Manhattan, NY · On-site
$180 - $260/hr
We are seeking a Senior Vice President, Private Equity Credit Portfolio Manager to join the global ... Key Responsibilities Credit Underwriting & Risk Judgment * Assess transaction‑level and ...
Manhattan, NY · On-site
$163K - $245K/yr
We are seeking a Senior Vice President, Private Equity Credit Portfolio Manager to join the global ... Apply rigorous risk analysis across Prime Brokerage, repo, derivatives, fund financing, and ...
Manhattan, NY · On-site
$163K - $245K/yr
We are seeking a Senior Vice President, Private Equity Credit Portfolio Manager to join the global ... Apply rigorous risk analysis across Prime Brokerage, repo, derivatives, fund financing, and ...
Jersey City, NJ · On-site
$175K - $200K/yr
This role provides objective assessment and challenge of underwriting, risk ratings, portfolio management practices, and ongoing credit monitoring across a complex leveraged finance portfolio. Client ...
New
Jersey City, NJ · On-site
$175K - $200K/yr
This role provides objective assessment and challenge of underwriting, risk ratings, portfolio management practices, and ongoing credit monitoring across a complex leveraged finance portfolio. Client ...
New
Jersey City, NJ · On-site
$175K - $200K/yr
Collaborate with internal stakeholders across credit risk, leveraged finance, portfolio management, and audit functions. * Support regulatory examinations and internal governance initiatives as ...
Posted today
Jersey City, NJ · On-site
$175K - $200K/yr
Collaborate with internal stakeholders across credit risk, leveraged finance, portfolio management, and audit functions. * Support regulatory examinations and internal governance initiatives as ...
Posted today
New York, NY · On-site
$163K - $245K/yr
We are seeking a Senior Vice President, Private Equity Credit Portfolio Manager to join the global ... Apply rigorous risk analysis across Prime Brokerage, repo, derivatives, fund financing, and ...
New York, NY · On-site
$163K - $245K/yr
We are seeking a Senior Vice President, Private Equity Credit Portfolio Manager to join the global ... Apply rigorous risk analysis across Prime Brokerage, repo, derivatives, fund financing, and ...
The candidate is expected to balance new deal flow alongside proactive portfolio management, providing credit recommendations, assigning risk ratings and identifying credit related and regulatory ...
The candidate is expected to balance new deal flow alongside proactive portfolio management, providing credit recommendations, assigning risk ratings and identifying credit related and regulatory ...
As a Credit Risk Review Advisor within PNC's Independent Risk Management organization, you will be ... Ensures understanding of portfolio issues, trends, and root causes in order to manage credit ...
As a Credit Risk Review Advisor within PNC's Independent Risk Management organization, you will be ... Ensures understanding of portfolio issues, trends, and root causes in order to manage credit ...
The Credit Portfolio Manager II (CPM), Middle Market oversees the overall risk profile of a Middle Market portfolio, identifying potential macro and micro risk issues (both positive and negative ...
The Credit Portfolio Manager II (CPM), Middle Market oversees the overall risk profile of a Middle Market portfolio, identifying potential macro and micro risk issues (both positive and negative ...
Ensures understanding of portfolio issues, trends, and root causes in order to manage credit ... Analyzes risk in assigned credit portfolios by reviewing relevant reporting and assessing trends.
Ensures understanding of portfolio issues, trends, and root causes in order to manage credit ... Analyzes risk in assigned credit portfolios by reviewing relevant reporting and assessing trends.
Monitoring and managing portfolio risk across KKR Credit and Insurance portfolios and sharing insights with senior investors and C-level firm management * Providing asset allocation recommendations ...
Monitoring and managing portfolio risk across KKR Credit and Insurance portfolios and sharing insights with senior investors and C-level firm management * Providing asset allocation recommendations ...
Monitoring and managing portfolio risk across KKR Credit and Insurance portfolios and sharing insights with senior investors and C-level firm management * Providing asset allocation recommendations ...
Monitoring and managing portfolio risk across KKR Credit and Insurance portfolios and sharing insights with senior investors and C-level firm management * Providing asset allocation recommendations ...
The position focuses on postclosing credit risk management, including transaction monitoring, review and processing of amendments, consents, and waivers, annual portfolio reviews, and close ...
The position focuses on postclosing credit risk management, including transaction monitoring, review and processing of amendments, consents, and waivers, annual portfolio reviews, and close ...
$94.6K - $109.9K
8% of jobs
$109.9K - $125.1K
6% of jobs
$125.1K - $140.3K
7% of jobs
$144.4K is the 25th percentile. Wages below this are outliers.
$140.3K - $155.5K
11% of jobs
The median wage is $164.9K / yr.
$155.5K - $170.7K
27% of jobs
$170.7K - $185.9K
13% of jobs
$188.1K is the 75th percentile. Wages above this are outliers.
$185.9K - $201.2K
15% of jobs
$201.2K - $216.4K
4% of jobs
$216.4K - $231.6K
4% of jobs
$231.6K - $246.8K
0% of jobs
$246.8K - $262K
4% of jobs
$94.6K
$173.2K
$262K
Cities in New York with the most Credit Portfolio Risk Manager job openings:

$40 - $46/hr
Full-time
Posted 21 days ago
Be Part Of A High-Performing Team
Join the securitized products division of a leading global financial institution with a strong presence in corporate, investment, and structured finance. This team supports sophisticated asset-backed securities portfolios through disciplined credit risk management, portfolio analytics, and transaction oversight. The environment is analytical, collaborative, and fast-paced, with regular exposure to senior stakeholders and complex structured credit products across multiple ABS sectors, including digital infrastructure.
What’s In Store For You
How You Will Make An Impact
Do You Bring Proven Success in ABS Credit Risk and Portfolio Analytics?
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Recruiting and staffing services
51 - 200 Employees
Charlotte, NC, US
2014