Participate in gathering requirements for the design of credit risk monitoring tools to further automation and other risk-related initiatives. * Work with internal departments, including Market Risk ...
Participate in gathering requirements for the design of credit risk monitoring tools to further automation and other risk-related initiatives. * Work with internal departments, including Market Risk ...
Participate in gathering requirements for the design of credit risk monitoring tools to further automation and other risk-related initiatives. * Work with internal departments, including Market Risk ...
Participate in gathering requirements for the design of credit risk monitoring tools to further automation and other risk-related initiatives. * Work with internal departments, including Market Risk ...
Oversee monitoring and reporting of credit risk KRIs, portfolio trends, and emerging risks, ensuring accuracy, consistency, and executive-readiness. * Provide secondline oversight of credit strategy ...
Oversee monitoring and reporting of credit risk KRIs, portfolio trends, and emerging risks, ensuring accuracy, consistency, and executive-readiness. * Provide secondline oversight of credit strategy ...
Seller Credit Risk Manager
$128K - $192K/yr
Monitor Seller credit risk, focusing on delivery profile trends and loan performance. Identify ... emerging issues and recommend actions to sustain or improve credit quality. * Relationship ...
Seller Credit Risk Manager
$128K - $192K/yr
Monitor Seller credit risk, focusing on delivery profile trends and loan performance. Identify ... emerging issues and recommend actions to sustain or improve credit quality. * Relationship ...
The primary purpose of this role is to own the end-to-end development and implementation of credit strategy/policy and conduct credit risk monitoring & analytics for Credit Card and Deposits ...
The primary purpose of this role is to own the end-to-end development and implementation of credit strategy/policy and conduct credit risk monitoring & analytics for Credit Card and Deposits ...
Drive monitoring and analyses of credit risk for both organic and acquired portfolio, prepare related management reporting package and provide insights on root causes, emerging credit trends and ...
Drive monitoring and analyses of credit risk for both organic and acquired portfolio, prepare related management reporting package and provide insights on root causes, emerging credit trends and ...
15171LA Credit Risk Management Director / Associate Director
Reston, VA · On-site
$180K - $230K/yr
Credit Risk Management Director / Associate Director Project Finance & Infrastructure Credit Risk ... Conduct ongoing portfolio monitoring and evaluate transaction performance and risk trends
Quick apply
15171LA Credit Risk Management Director / Associate Director
Reston, VA · On-site
$180K - $230K/yr
Credit Risk Management Director / Associate Director Project Finance & Infrastructure Credit Risk ... Conduct ongoing portfolio monitoring and evaluate transaction performance and risk trends
Monitor and report on the risk and control profile, financial risk appetite, and performance of ... Senior Lead- Portfolio Credit Risk, an influential leader at Freddie Mac, you will: * Analyze ...
Monitor and report on the risk and control profile, financial risk appetite, and performance of ... Senior Lead- Portfolio Credit Risk, an influential leader at Freddie Mac, you will: * Analyze ...
Monitor and report on the risk and control profile, financial risk appetite, and performance of ... Senior Lead- Portfolio Credit Risk, an influential leader at Freddie Mac, you will: * Analyze ...
Monitor and report on the risk and control profile, financial risk appetite, and performance of ... Senior Lead- Portfolio Credit Risk, an influential leader at Freddie Mac, you will: * Analyze ...
This includes evaluating and monitoring consumer concentration risk and exceptions portfolio targets. Provide independent credit decision adjudication of large, complex, or exception based ...
This includes evaluating and monitoring consumer concentration risk and exceptions portfolio targets. Provide independent credit decision adjudication of large, complex, or exception based ...
Manage the ongoing credit risk of existing loan portfolios through continuous credit monitoring (CCM) activities enabling the timely identification of emerging credit risk so that appropriate actions ...
Manage the ongoing credit risk of existing loan portfolios through continuous credit monitoring (CCM) activities enabling the timely identification of emerging credit risk so that appropriate actions ...
Own ongoing monitoring of portfolio health across a comprehensive suite of KPIs, including ... credit risk analysis, credit policy, or a closely related function within consumer or small ...
Own ongoing monitoring of portfolio health across a comprehensive suite of KPIs, including ... credit risk analysis, credit policy, or a closely related function within consumer or small ...
Manage the ongoing credit risk of existing loan portfolios through continuous credit monitoring (CCM) activities enabling the timely identification of emerging credit risk so that appropriate actions ...
Manage the ongoing credit risk of existing loan portfolios through continuous credit monitoring (CCM) activities enabling the timely identification of emerging credit risk so that appropriate actions ...
Own ongoing monitoring of portfolio health across a comprehensive suite of KPIs, including ... credit risk analysis, credit policy, or a closely related function within consumer or small ...
Own ongoing monitoring of portfolio health across a comprehensive suite of KPIs, including ... credit risk analysis, credit policy, or a closely related function within consumer or small ...
Credit Risk Machine Learning Modeling Lead (AVP) Norfolk, Virginia, United States About the Job ... Provide project, client & team management and monitor progress of deliverables on daily basis and ...
Credit Risk Machine Learning Modeling Lead (AVP) Norfolk, Virginia, United States About the Job ... Provide project, client & team management and monitor progress of deliverables on daily basis and ...
Own ongoing monitoring of portfolio health across a comprehensive suite of KPIs, including ... credit risk analysis, credit policy, or a closely related function within consumer or small ...
Own ongoing monitoring of portfolio health across a comprehensive suite of KPIs, including ... credit risk analysis, credit policy, or a closely related function within consumer or small ...
Own ongoing monitoring of portfolio health across a comprehensive suite of KPIs, including ... credit risk analysis, credit policy, or a closely related function within consumer or small ...
Quick apply
Own ongoing monitoring of portfolio health across a comprehensive suite of KPIs, including ... credit risk analysis, credit policy, or a closely related function within consumer or small ...
This role is 2LOD Credit Risk oversight of AMG. Primary responsibilities for the role entail Commercial Credit transaction approvals for AMG, oversight of portfolio including monitoring the portfolio ...
This role is 2LOD Credit Risk oversight of AMG. Primary responsibilities for the role entail Commercial Credit transaction approvals for AMG, oversight of portfolio including monitoring the portfolio ...
This role is 2LOD Credit Risk oversight of AMG. Primary responsibilities for the role entail Commercial Credit transaction approvals for AMG, oversight of portfolio including monitoring the portfolio ...
This role is 2LOD Credit Risk oversight of AMG. Primary responsibilities for the role entail Commercial Credit transaction approvals for AMG, oversight of portfolio including monitoring the portfolio ...
Monitor KRIs and other risk metrics to measure credit risk exposure impacted by servicing activities; monitor performance against risk appetite thresholds and identify key drivers * Monitor industry ...
Monitor KRIs and other risk metrics to measure credit risk exposure impacted by servicing activities; monitor performance against risk appetite thresholds and identify key drivers * Monitor industry ...
Credit Risk Monitor information
See Virginia salary details
$85.8K - $99.5K
8% of jobs
$99.5K - $113.3K
6% of jobs
$113.3K - $127.1K
7% of jobs
$130.9K is the 25th percentile. Wages below this are outliers.
$127.1K - $140.9K
11% of jobs
The median wage is $149.4K / yr.
$140.9K - $154.7K
27% of jobs
$154.7K - $168.5K
13% of jobs
$170.5K is the 75th percentile. Wages above this are outliers.
$168.5K - $182.3K
15% of jobs
$182.3K - $196.1K
4% of jobs
$196.1K - $209.9K
4% of jobs
$209.9K - $223.7K
0% of jobs
$223.7K - $237.4K
4% of jobs
$85.8K
$157K
$237.4K
How much do credit risk monitor jobs pay per year?
What are the key skills and qualifications needed to thrive as a Credit Risk Monitor, and why are they important?
What are some common challenges faced by Credit Risk Monitors in their day-to-day work?
What is a Credit Risk Monitor?
What is the difference between Credit Risk Monitor vs Credit Analyst?
| Aspect | Credit Risk Monitor | Credit Analyst |
|---|---|---|
| Required credentials | Typically requires finance, economics, or related degrees; certifications like CFA are a plus | Similar educational background; certifications like CFA or CPA can be advantageous |
| Work environment | Financial services, credit risk assessment, often in corporate or agency settings | Banking, lending institutions, or corporate finance departments |
| Employer and industry usage | Used by credit rating agencies, financial institutions, and risk management firms | Common in banks, investment firms, and credit departments |
While both roles involve financial analysis and risk assessment, Credit Risk Monitors focus on monitoring and analyzing credit risks at a broader level, often involving data aggregation and industry trend analysis. Credit Analysts typically evaluate individual creditworthiness of clients or companies to inform lending decisions. Understanding these distinctions helps in choosing the right career path or job search focus.

Job description
Location: McLean, VA | Dallas, TX | Tampa, FL | Jersey City, NJ
Experience level: Mid-senior
Experience required: 5 Years
Education level: Bachelor's degree
Job function: Finance
Industry: Financial Services
Total position: 1
Relocation assistance: No
Visa : Only US citizens and Greencard holders
Job Description:
- The Counterparty Credit Risk (CCR) team is primarily responsible for assessing the financial stability of DTCC's member firms by interpreting financial statements of banks, broker-dealers, and other financial firms
- As a Senior Credit Risk Associate within the CCR team, you will be responsible for assessing the creditworthiness of a portfolio consisting of banks, broker-dealers, and other financial institutions.
- You will perform annual reviews and ongoing surveillance, review earnings releases, and new member applications. You will also be tasked with maintenance of the credit risk rating matrix, and compliance assessment with established financial parameters.
Responsibilities:
- Analyze financial statements to identify credit risks and mitigants, and to assess trends in financial institutions' (e.g., banks, broker-dealers, insurance companies, central securities depositories, etc.) capital adequacy, profitability, asset quality, and liquidity/funding management
- Perform annual reviews and ongoing surveillance of member firms across clearing corporations, to assess the creditworthiness of member firms.
- Participate in gathering requirements for the design of credit risk monitoring tools to further automation and other risk-related initiatives.
- Work with internal departments, including Market Risk, Product Management, Relationship
- Management, Legal, and Compliance, to maintain transparency when assessing potential risk exposures within member firms.
- Review new member full-service applications to assess whether the applicants' financial condition meets DTCC member requirements.
- Assess whether member firms need to be placed on enhanced surveillance based on newly disclosed material events.
- Adhere to risk-related policies and best practices of CCR.
- Demonstrate the behaviors and competencies that create a risk management mindset in the organization.
- Demonstrate regulatory awareness and compliance and ensure adherence to risk-related policies and best practices.
- Ensure compliance with CCR's policies and procedures.
Qualifications:
- Bachelor's degree in Accounting, Finance, Business, or Economics required, MBA or CFA preferred
- Minimum of 5 years' experience in risk management or financial analysis
- Excellent knowledge of financial statement analysis for various financial institutions, particularly banks and broker-dealers
- Fundamental credit analysis skills, including knowledge of CAMELS and other rating systems
- In-depth understanding of regulatory rules and regulations
Additional Qualifications:
- Experience in working with new technological initiatives and setting forth business requirements
- Effective communication skills, both oral and written
About Beyond Sof
Sourced by ZipRecruiter
Company size
11 - 50 Employees
Headquarters location
McLean, VA, US
Year founded
2011