The ideal candidate is a market risk professional with deep expertise in regulatory stress testing ... review of Global Market Shock (GMS), Counterparty Credit Stress Testing (CCST), CCAR, or related ...
The ideal candidate is a market risk professional with deep expertise in regulatory stress testing ... review of Global Market Shock (GMS), Counterparty Credit Stress Testing (CCST), CCAR, or related ...
Senior Credit Research Associate - Emerging Markets
Boston, MA · On-site
$95K - $130K/yr
Publish and present issuer credit reviews, industry reviews and other research memos at the ... Assess credit risk and develop an understanding of relative valuation and financial markets
Senior Credit Research Associate - Emerging Markets
Boston, MA · On-site
$95K - $130K/yr
Publish and present issuer credit reviews, industry reviews and other research memos at the ... Assess credit risk and develop an understanding of relative valuation and financial markets
Senior Credit Analyst
Franklin, MA · On-site
Reviews customers' financial statements. * Ensure that extensions of credit reflect Dean Bank's risk appetite, and are in full compliance with credit policies, target market criteria, product ...
Quick apply
Senior Credit Analyst
Franklin, MA · On-site
Reviews customers' financial statements. * Ensure that extensions of credit reflect Dean Bank's risk appetite, and are in full compliance with credit policies, target market criteria, product ...
Senior Credit Analyst
Franklin, MA · On-site
Reviews customers' financial statements. * Ensure that extensions of credit reflect Dean Bank's risk appetite, and are in full compliance with credit policies, target market criteria, product ...
Senior Credit Analyst
Franklin, MA · On-site
Reviews customers' financial statements. * Ensure that extensions of credit reflect Dean Bank's risk appetite, and are in full compliance with credit policies, target market criteria, product ...
Minimum 7-10+ years of relevant loan review, or related commercial credit experience (direct lending, workout, risk management and/or regulatory). * Strong understanding of credit risks associated ...
Minimum 7-10+ years of relevant loan review, or related commercial credit experience (direct lending, workout, risk management and/or regulatory). * Strong understanding of credit risks associated ...
Senior Credit Analyst
Franklin, MA · On-site
Reviews customers' financial statements. * Ensure that extensions of credit reflect Dean Bank's risk appetite, and are in full compliance with credit policies, target market criteria, product ...
Quick apply
Senior Credit Analyst
Franklin, MA · On-site
Reviews customers' financial statements. * Ensure that extensions of credit reflect Dean Bank's risk appetite, and are in full compliance with credit policies, target market criteria, product ...
Minimum 7-10+ years of relevant loan review, or related commercial credit experience (direct lending, workout, risk management and/or regulatory). * Strong understanding of credit risks associated ...
Minimum 7-10+ years of relevant loan review, or related commercial credit experience (direct lending, workout, risk management and/or regulatory). * Strong understanding of credit risks associated ...
Senior Credit Analyst
Franklin, MA · On-site
$76K - $100K/yr
Reviews customers' financial statements. * Ensure that extensions of credit reflect Dean Bank's risk appetite, and are in full compliance with credit policies, target market criteria, product ...
Senior Credit Analyst
Franklin, MA · On-site
$76K - $100K/yr
Reviews customers' financial statements. * Ensure that extensions of credit reflect Dean Bank's risk appetite, and are in full compliance with credit policies, target market criteria, product ...
Senior Credit Analyst
Franklin, MA · On-site
$76K - $100K/yr
Reviews customers' financial statements.Ensure that extensions of credit reflect Dean Bank's risk appetite, and are in full compliance with credit policies, target market criteria, product programs ...
Quick apply
Senior Credit Analyst
Franklin, MA · On-site
$76K - $100K/yr
Reviews customers' financial statements.Ensure that extensions of credit reflect Dean Bank's risk appetite, and are in full compliance with credit policies, target market criteria, product programs ...
Senior Credit Analyst
Franklin, MA · On-site
Reviews customers' financial statements. * Ensure that extensions of credit reflect Dean Bank's risk appetite, and are in full compliance with credit policies, target market criteria, product ...
Quick apply
Senior Credit Analyst
Franklin, MA · On-site
Reviews customers' financial statements. * Ensure that extensions of credit reflect Dean Bank's risk appetite, and are in full compliance with credit policies, target market criteria, product ...
... risk/return requirements * Provide input into key projects/initiatives across the bank * Review the credit profile of key transaction counterparties (e.g. borrowers, servicers, sponsors and off ...
... risk/return requirements * Provide input into key projects/initiatives across the bank * Review the credit profile of key transaction counterparties (e.g. borrowers, servicers, sponsors and off ...
Credit Officer-Global Infrastructure Credit
Boston, MA · On-site
$125K - $165K/yr
... risk/return requirements * Provide input into key projects/initiatives across the bank * Review the credit profile of key transaction counterparties (e.g. borrowers, servicers, sponsors and off ...
Credit Officer-Global Infrastructure Credit
Boston, MA · On-site
$125K - $165K/yr
... risk/return requirements * Provide input into key projects/initiatives across the bank * Review the credit profile of key transaction counterparties (e.g. borrowers, servicers, sponsors and off ...
Commercial Services - Senior Commercial Credit Analyst
Chelsea, MA · On-site
$130K/yr
Conduct annual reviews, renewals, modifications, and risk rating assessments for existing credit relationships * Identify potential risks and recommend appropriate credit structures and mitigating ...
Commercial Services - Senior Commercial Credit Analyst
Chelsea, MA · On-site
$130K/yr
Conduct annual reviews, renewals, modifications, and risk rating assessments for existing credit relationships * Identify potential risks and recommend appropriate credit structures and mitigating ...
Senior Credit Analyst
Dedham, MA · On-site
$83K - $111K/yr
... risk. The Senior Credit Analyst also reviews key loan documentation, prepares periodic loan and portfolio reports, participates in customer meetings as requested, and ensures credit source documents ...
Senior Credit Analyst
Dedham, MA · On-site
$83K - $111K/yr
... risk. The Senior Credit Analyst also reviews key loan documentation, prepares periodic loan and portfolio reports, participates in customer meetings as requested, and ensures credit source documents ...
Crowe is seeking a Loan Review Senior Consultant to perform credit risk consulting projects for a variety of clients in the financial services industry. In this role, you will: Job Responsibilities:
Crowe is seeking a Loan Review Senior Consultant to perform credit risk consulting projects for a variety of clients in the financial services industry. In this role, you will: Job Responsibilities:
Analyst, Credit - Ld/Sr
Boston, MA · On-site
Review and approve new counterparties, suppliers, and deal structures from a credit risk perspective. * Support structuring of power purchase agreements. Skills & Competencies * Expertise in Treasury ...
Analyst, Credit - Ld/Sr
Boston, MA · On-site
Review and approve new counterparties, suppliers, and deal structures from a credit risk perspective. * Support structuring of power purchase agreements. Skills & Competencies * Expertise in Treasury ...
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Credit Analyst/Underwriting
Needham, MA · On-site
$28 - $31/hr
Review financial statements, tax returns, credit reports, appraisals, and other documentation to evaluate creditworthiness. * Assess cash flow, collateral, financial trends, and overall risk to ...
Quick apply
Be Seen First
Credit Analyst/Underwriting
Needham, MA · On-site
$28 - $31/hr
Review financial statements, tax returns, credit reports, appraisals, and other documentation to evaluate creditworthiness. * Assess cash flow, collateral, financial trends, and overall risk to ...
Credit Analyst I - Regional Commercial Banking
Worcester, MA · On-site
$25.75 - $38.50/hr
Credit Management The Credit Analyst I is responsible for conducting in-depth industry and ... Work reviewed and monitored by lead staff * Basic understanding of loan risk factors. * May ...
Credit Analyst I - Regional Commercial Banking
Worcester, MA · On-site
$25.75 - $38.50/hr
Credit Management The Credit Analyst I is responsible for conducting in-depth industry and ... Work reviewed and monitored by lead staff * Basic understanding of loan risk factors. * May ...
Credit Analyst I - Regional Commercial Banking
Springfield, MA · On-site
$25.75 - $38.50/hr
Credit Management The Credit Analyst I is responsible for conducting in-depth industry and ... Work reviewed and monitored by lead staff * Basic understanding of loan risk factors. * May ...
Credit Analyst I - Regional Commercial Banking
Springfield, MA · On-site
$25.75 - $38.50/hr
Credit Management The Credit Analyst I is responsible for conducting in-depth industry and ... Work reviewed and monitored by lead staff * Basic understanding of loan risk factors. * May ...
Credit Analyst I - Regional Commercial Banking
Springfield, MA · On-site
$25.75 - $38.50/hr
Credit Management The Credit Analyst I is responsible for conducting in-depth industry and ... Work reviewed and monitored by lead staff * Basic understanding of loan risk factors. * May ...
Credit Analyst I - Regional Commercial Banking
Springfield, MA · On-site
$25.75 - $38.50/hr
Credit Management The Credit Analyst I is responsible for conducting in-depth industry and ... Work reviewed and monitored by lead staff * Basic understanding of loan risk factors. * May ...
Credit Risk Review information
See Massachusetts salary details
$94.5K - $109.7K
8% of jobs
$109.7K - $124.8K
6% of jobs
$124.8K - $140K
7% of jobs
$144.2K is the 25th percentile. Wages below this are outliers.
$140K - $155.2K
11% of jobs
The median wage is $164.6K / yr.
$155.2K - $170.4K
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$170.4K - $185.6K
13% of jobs
$187.8K is the 75th percentile. Wages above this are outliers.
$185.6K - $200.8K
15% of jobs
$200.8K - $216K
4% of jobs
$216K - $231.2K
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$231.2K - $246.4K
0% of jobs
$246.4K - $261.6K
4% of jobs
$94.5K
$172.9K
$261.6K
How much do credit risk review jobs pay per year?
What are the key skills and qualifications needed to thrive in the credit risk review position, and why are they important?
To thrive as a Credit Risk Review professional, you need a solid understanding of credit risk assessment, financial analysis, and regulatory compliance, typically supported by a degree in finance, accounting, or a related field. Familiarity with risk management software, data analytics tools, and possibly certifications such as FRM or CFA is highly valued. Strong attention to detail, analytical thinking, and effective communication skills are essential soft skills for success. These abilities are crucial for accurately evaluating credit exposures, ensuring regulatory adherence, and providing actionable recommendations that protect the organization's financial health.
What are the typical daily responsibilities of someone in a credit risk review role?
A Credit Risk Review professional typically spends their day analyzing credit portfolios, assessing borrower risk profiles, and ensuring compliance with internal credit policies and external regulations. Regular tasks include conducting file reviews, preparing detailed risk reports, and identifying trends or potential problem credits. You will often collaborate with relationship managers, credit analysts, and senior management to discuss findings and recommend improvements. The role requires balancing independent analysis with team collaboration, making it both intellectually engaging and integral to the organization's risk management strategy.
What is a credit risk review?
A Credit Risk Review job involves assessing the quality of a financial institution's credit portfolio to ensure that loans and credit exposures align with the organization's risk appetite and regulatory standards. Professionals in this role analyze borrower financials, evaluate underwriting practices, and provide independent assessments of credit risk management. They also identify emerging risks, ensure compliance with internal policies, and recommend improvements to mitigate potential losses. This role is critical in maintaining the overall health and stability of a lending institution.

Full-time
Medical, Dental, Vision, Life, Retirement, PTO
Posted 6 days ago
Job description
The ideal candidate is a market risk professional with deep expertise in regulatory stress testing and scenario design who combines strong quantitative skills with sound market judgment. They are comfortable challenging assumptions, influencing stakeholders across functions, and presenting complex methodologies to regulators, governance committees, and senior leadership.
What You Will Be Responsible For
As a Senior Specialist for Market Risk Stress Testing and Scenario Design, you will serve as a key contributor to the firm's regulatory stress testing framework, helping shape how State Street assesses vulnerability to severe market dislocations and emerging financial risks. You will play an important role in the design, governance, and evolution of Global Market Shock (GMS) and Counterparty Credit Stress Testing (CCST) scenarios that support critical risk management and regulatory objectives.
Working at the intersection of financial markets, quantitative analytics, and regulatory risk management, you will partner with senior stakeholders across Market Risk, Trading, Treasury, Counterparty Credit Risk, Finance, Model Risk Management, and Regulatory Assurance to develop forward-looking stress scenarios that inform decision-making and strengthen the firm's resilience under adverse market conditions.
In this role, you will:
- Develop and enhance Global Market Shock (GMS) and Counterparty Credit Stress Testing (CCST) scenarios that capture severe but plausible market events across interest rates, credit spreads, equities, foreign exchange, commodities, and volatility markets.
- Influence the firm's approach to stress testing by identifying emerging risks, assessing portfolio vulnerabilities, and translating complex market developments into meaningful stress scenarios and loss assessments.
- Drive the development and calibration of market shock methodologies across thousands of risk factors, ensuring scenarios remain robust, defensible, and aligned with evolving market conditions and regulatory expectations.
- Apply quantitative analysis, historical market research, and expert judgment to evaluate scenario severity, benchmark assumptions, and enhance the effectiveness of stress testing frameworks.
- Partner with global markets and counterparty credit risk managers, model owners, and senior stakeholders to challenge assumptions, evaluate scenario outcomes, and strengthen stress-testing governance across the organization.
- Contribute to the advancement of scenario design methodologies, analytical capabilities, and risk infrastructure through the development of innovative tools, models, dashboards, and visualization solutions.
- Support regulatory examinations, model governance reviews, and internal oversight activities by presenting methodologies, analyses, and scenario results to senior management, risk committees, auditors, and regulators.
- Serve as a trusted subject matter expert on market stress testing, providing insight into cross-asset market dynamics, regulatory developments, and emerging risks that could impact the firm's businesses and balance sheet.
What We Value
Success in this role requires a combination deep market expertise with strong quantitative capabilities and the ability to influence decision-making across a complex global organization. We are looking for someone who can think strategically challenge assumptions constructively and communicate complex concepts clearly to both technical and non-technical audiences.
Key attributes include:
- Deep understanding of global financial markets and the relationships between risk factors across asset classes.
- Strong quantitative and analytical capabilities, with experience developing or enhancing risk methodologies and stress-testing frameworks.
- Ability to exercise sound judgment in ambiguous situations and form well-reasoned, data-driven conclusions.
- Confidence engaging with senior stakeholders and challenging assumptions in a collaborative and constructive manner.
- Strong communication and presentation skills, including the ability to explain complex technical concepts to senior leadership, governance committees, and regulators.
- Intellectual curiosity and a continuous improvement mindset, with an interest in leveraging technology and AI to enhance analytical processes and decision-making.
Education & Preferred Qualifications
- Master's degree or PhD in Finance, Economics, Financial Engineering, Mathematics, Statistics, Physics, or a related quantitative discipline.
- 5+ years of experience in market risk, stress testing, quantitative analytics, financial market modeling, scenario design, or related disciplines within large financial institutions, regulatory agencies, consulting firms, or asset managers.
- Demonstrated expertise in the design, calibration, execution, or independent review of Global Market Shock (GMS), Counterparty Credit Stress Testing (CCST), CCAR, or related regulatory stress-testing frameworks.
- Deep understanding of global financial markets, cross-asset risk dynamics, and market risk regulatory frameworks, including Basel market risk requirements, FRTB, trading book stress testing, and counterparty credit risk.
- Proven ability to develop and enhance quantitative methodologies used for stress testing, scenario design, risk-factor calibration, or market risk analytics.
- Experience engaging with regulators, model risk management functions, internal audit teams, and governance committees on stress-testing methodologies, assumptions, and results.
- Demonstrated ability to influence stakeholders, challenge assumptions, and communicate complex quantitative concepts to both technical and non-technical audiences.
- Strong programming and data analysis skills with experience using Python or similar languages to support analytics, modeling, automation, and data visualization.
- Experience leveraging advanced analytics, automation, or AI-enabled tools to enhance risk modeling, scenario generation, or decision-making processes is a plus.
Salary Range:
$120,000 - $202,500 AnnualThe range quoted above applies to the role in the primary location specified. If the candidate would ultimately work outside of the primary location above, the applicable range could differ.
Employees are eligible to participate in State Street's comprehensive benefits program, which includes: our retirement savings plan (401K) with company match; insurance coverage including basic life, medical, dental, vision, long-term disability, and other optional additional coverages; paid-time off including vacation, sick leave, short term disability, and family care responsibilities; access to our Employee Assistance Program; incentive compensation including eligibility for annual performance-based awards (excluding certain sales roles subject to sales incentive plans); and, eligibility for certain tax advantaged savings plans.
For a full overview, visit https://hrportal.ehr.com/statestreet/Home.
About State StreetAcross the globe, institutional investors rely on us to help them manage risk, respond to challenges, and drive performance and profitability. We keep our clients at the heart of everything we do, and smart, engaged employees are essential to our continued success.
We are committed to fostering an environment where every employee feels valued and empowered to reach their full potential. As an essential partner in our shared success, you'll benefit from inclusive development opportunities, flexible work-life support, paid volunteer days, and vibrant employee networks that keep you connected to what matters most. Join us in shaping the future.
As an Equal Opportunity Employer, we consider all qualified applicants for all positions without regard to race, creed, color, religion, national origin, ancestry, ethnicity, age, disability, genetic information, sex, sexual orientation, gender identity or expression, citizenship, marital status, domestic partnership or civil union status, familial status, military and veteran status, and other characteristics protected by applicable law.
Discover more information on jobs at StateStreet.com/careers
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About State Street Global Advisors
Sourced by ZipRecruiter
Industry
Finance and insurance
Company size
1,001 - 5,000 Employees
Headquarters location
Boston, MA, US
Year founded
1978