Monitor real-time and end-of-day market, credit, margin, and liquidity exposures across client ... Experience with risk-reporting tools, SQL, Python, Excel/VBA, or data-analysis platforms. What ...
Monitor real-time and end-of-day market, credit, margin, and liquidity exposures across client ... Experience with risk-reporting tools, SQL, Python, Excel/VBA, or data-analysis platforms. What ...
Counterparty Credit Risk FIG Insurance SVP
New York, NY · On-site
$160K - $220K/yr
Financial Institutions credit analysis for U.S. Insurance Companies including Holding Companies ... Counterparty Risk and Settlement monitoring for trading via NY Branch (Bank) and BSI (U.S. Broker ...
Counterparty Credit Risk FIG Insurance SVP
New York, NY · On-site
$160K - $220K/yr
Financial Institutions credit analysis for U.S. Insurance Companies including Holding Companies ... Counterparty Risk and Settlement monitoring for trading via NY Branch (Bank) and BSI (U.S. Broker ...
Credit Risk Modeling & Analytics Manager
Jersey City, NJ · On-site
$100K/yr
You've experience working in Banking, Credit Cards, Marketing Analytics, Credit Risk Modeling. * You've experience working with Machine Learning techniques (Support Vector Machines, Genetic ...
Credit Risk Modeling & Analytics Manager
Jersey City, NJ · On-site
$100K/yr
You've experience working in Banking, Credit Cards, Marketing Analytics, Credit Risk Modeling. * You've experience working with Machine Learning techniques (Support Vector Machines, Genetic ...
Assistant Vice President, Credit Analyst (Financial Sponsor)
New York, NY · On-site
$140K - $150K/yr
Assign internal risk ratings for clients and deals to drive capital requirements and internal approval delegation. Utilize internal credit analytics tools to simulate counterparty credit risk ...
Assistant Vice President, Credit Analyst (Financial Sponsor)
New York, NY · On-site
$140K - $150K/yr
Assign internal risk ratings for clients and deals to drive capital requirements and internal approval delegation. Utilize internal credit analytics tools to simulate counterparty credit risk ...
Credit Risk Specialist
Manhattan, NY · Hybrid
$95K - $105K/yr
Responsible for credit evaluation and deal maintenance for transactions in Trade and Commodity ... analysis and market value/liquidity. * Prepares all applications and reports and makes ...
Quick apply
Credit Risk Specialist
Manhattan, NY · Hybrid
$95K - $105K/yr
Responsible for credit evaluation and deal maintenance for transactions in Trade and Commodity ... analysis and market value/liquidity. * Prepares all applications and reports and makes ...
Credit Risk Specialist
Manhattan, NY · Hybrid
$95K - $105K/yr
Supports Credit Analysts with Branch and Head Office monitoring and reporting requirements ... We believe that efficient teams need truth, loyalty, and a strong sense of purpose to balance risk ...
Quick apply
Credit Risk Specialist
Manhattan, NY · Hybrid
$95K - $105K/yr
Supports Credit Analysts with Branch and Head Office monitoring and reporting requirements ... We believe that efficient teams need truth, loyalty, and a strong sense of purpose to balance risk ...
Risk Analyst
New York, NY · On-site
Overview The Risk Analyst is primarily responsible for analyzing and calculating financial risk ... Investigate the credit card processing, chargebacks, refunds, and fraud on merchant accounts that ...
Risk Analyst
New York, NY · On-site
Overview The Risk Analyst is primarily responsible for analyzing and calculating financial risk ... Investigate the credit card processing, chargebacks, refunds, and fraud on merchant accounts that ...
Risk Management - Trade & Working Capital Credit Risk Associate
Manhattan, NY · On-site
$120 - $170/hr
Analyze key documentation terms and identify risk mitigants to support well-governed approvals * Advise first-line partners on credit line requests by assessing product suitability, structure, and ...
New
Risk Management - Trade & Working Capital Credit Risk Associate
Manhattan, NY · On-site
$120 - $170/hr
Analyze key documentation terms and identify risk mitigants to support well-governed approvals * Advise first-line partners on credit line requests by assessing product suitability, structure, and ...
New
Analyze key documentation terms and identify risk mitigants to support well-governed approvals * Advise first-line partners on credit line requests by assessing product suitability, structure, and ...
Analyze key documentation terms and identify risk mitigants to support well-governed approvals * Advise first-line partners on credit line requests by assessing product suitability, structure, and ...
Develop, and maintain the performance of Credit Risk and Stress Testing models for the lending portfolio with broader credit analytics coverage as needed * Participate in research, development, and ...
Quick apply
Develop, and maintain the performance of Credit Risk and Stress Testing models for the lending portfolio with broader credit analytics coverage as needed * Participate in research, development, and ...
Credit Risk Manager, Vice President
New York, NY · Hybrid
$142K - $180K/yr
... risk ratings * Staying current on changes and potential changes in the sector and regulatory ... Evaluate credit opportunities along with the business line and perform detailed credit analysis ...
Credit Risk Manager, Vice President
New York, NY · Hybrid
$142K - $180K/yr
... risk ratings * Staying current on changes and potential changes in the sector and regulatory ... Evaluate credit opportunities along with the business line and perform detailed credit analysis ...
Country Risk Analyst
Manhattan, NY · On-site
$120 - $180/hr
We are currently recruiting a country risk analyst to cover the Americas region (US/Canada, Latin ... Participate in credit-sensitive transactions affecting challenging countries in the Americas region
Country Risk Analyst
Manhattan, NY · On-site
$120 - $180/hr
We are currently recruiting a country risk analyst to cover the Americas region (US/Canada, Latin ... Participate in credit-sensitive transactions affecting challenging countries in the Americas region
Analyze key documentation terms and identify risk mitigants to support well-governed approvals * Advise first-line partners on credit line requests by assessing product suitability, structure, and ...
Analyze key documentation terms and identify risk mitigants to support well-governed approvals * Advise first-line partners on credit line requests by assessing product suitability, structure, and ...
Risk Management - Trade & Working Capital Credit Risk Associate
Manhattan, NY · On-site
$135K - $150K/yr
Analyze key documentation terms and identify risk mitigants to support well-governed approvals * Advise first-line partners on credit line requests by assessing product suitability, structure, and ...
Risk Management - Trade & Working Capital Credit Risk Associate
Manhattan, NY · On-site
$135K - $150K/yr
Analyze key documentation terms and identify risk mitigants to support well-governed approvals * Advise first-line partners on credit line requests by assessing product suitability, structure, and ...
Associate, Market Risk Control - US Prime Services
Manhattan, NY · On-site
$90 - $125/hr
... credit risk arising from Prime Brokerage client activity. This role requires strong analytical and problem-solving skills, sound risk judgment, and the ability to leverage data, technology, and ...
Associate, Market Risk Control - US Prime Services
Manhattan, NY · On-site
$90 - $125/hr
... credit risk arising from Prime Brokerage client activity. This role requires strong analytical and problem-solving skills, sound risk judgment, and the ability to leverage data, technology, and ...
Associate, Market Risk Control - US Prime Services
New York, NY · On-site
$90K - $125K/yr
Collaborate closely with Front Office, Operations, Credit Risk, Market Risk, Legal, Compliance, Technology, and Project teams. * Communicate risk issues, recommendations, and analytical findings ...
Associate, Market Risk Control - US Prime Services
New York, NY · On-site
$90K - $125K/yr
Collaborate closely with Front Office, Operations, Credit Risk, Market Risk, Legal, Compliance, Technology, and Project teams. * Communicate risk issues, recommendations, and analytical findings ...
Associate, Market Risk Control - US Prime Services
New York, NY · On-site
$90K - $125K/yr
Collaborate closely with Front Office, Operations, Credit Risk, Market Risk, Legal, Compliance, Technology, and Project teams. * Communicate risk issues, recommendations, and analytical findings ...
Associate, Market Risk Control - US Prime Services
New York, NY · On-site
$90K - $125K/yr
Collaborate closely with Front Office, Operations, Credit Risk, Market Risk, Legal, Compliance, Technology, and Project teams. * Communicate risk issues, recommendations, and analytical findings ...
Analyze credit risk of the designated portfolio, determine accurate ratings and make recommendations of accurate and timely ratings to management; Designated customers for associates and above will ...
Analyze credit risk of the designated portfolio, determine accurate ratings and make recommendations of accurate and timely ratings to management; Designated customers for associates and above will ...
Responsible for performing supporting analysis, identifying risk issues, and completing sections of credit analysis, as needed, to assess the creditworthiness of commercial clients. Primary ...
Responsible for performing supporting analysis, identifying risk issues, and completing sections of credit analysis, as needed, to assess the creditworthiness of commercial clients. Primary ...
Responsible for performing supporting analysis, identifying risk issues, and completing sections of credit analysis, as needed, to assess the creditworthiness of commercial clients. Primary ...
Responsible for performing supporting analysis, identifying risk issues, and completing sections of credit analysis, as needed, to assess the creditworthiness of commercial clients. Primary ...
Entry Level Credit Risk Analyst information
See Newark, NJ salary details
$38.7K - $54K
4% of jobs
$54K - $69.2K
5% of jobs
$69.2K - $84.5K
14% of jobs
$85.6K is the 25th percentile. Wages below this are outliers.
$84.5K - $99.7K
21% of jobs
The median wage is $107.4K / yr.
$99.7K - $115K
11% of jobs
$115K - $130.2K
12% of jobs
$140.6K is the 75th percentile. Wages above this are outliers.
$130.2K - $145.5K
12% of jobs
$145.5K - $160.8K
11% of jobs
$160.8K - $176K
5% of jobs
$176K - $191.3K
4% of jobs
$191.3K - $206.5K
1% of jobs
$38.7K
$119.1K
$206.5K
How much do entry level credit risk analyst jobs pay per year?
What does an entry level credit risk analyst do?
An Entry Level Credit Risk Analyst evaluates financial data to assess the creditworthiness of individuals or businesses. They analyze credit reports, financial statements, and payment histories to identify potential risks. Their role supports risk management strategies by helping companies make informed lending or investment decisions. Additionally, they may assist in maintaining risk models and ensuring compliance with internal policies and industry regulations. Strong analytical skills, attention to detail, and proficiency in financial tools are essential for success in this role.
What are the key skills and qualifications needed to thrive in the entry level credit risk analyst position, and why are they important?
To thrive as an Entry Level Credit Risk Analyst, you need strong analytical and quantitative abilities, a bachelor's degree in finance, economics, or a related field, and a keen attention to detail. Familiarity with Excel, financial modeling tools, and risk assessment software, as well as knowledge of databases and possibly SAS or Python, is often required. Excellent communication, time management, and problem-solving skills help you interpret data and present findings effectively. These skills ensure accurate risk evaluations, sound decision-making, and effective collaboration within credit risk teams.
What are the most commonly searched types of Credit Risk Analyst jobs in Newark, NJ?
The most popular types of Credit Risk Analyst jobs in Newark, NJ are:
What are popular job titles related to Entry Level Credit Risk Analyst jobs in Newark, NJ?
For Entry Level Credit Risk Analyst jobs in Newark, NJ, the most frequently searched job titles are:
What job categories do people searching Entry Level Credit Risk Analyst jobs in Newark, NJ look for?
The top searched job categories for Entry Level Credit Risk Analyst jobs in Newark, NJ are:
What cities near Newark, NJ are hiring for Entry Level Credit Risk Analyst jobs?
Cities near Newark, NJ with the most Entry Level Credit Risk Analyst job openings:

Full-time
Medical, Dental, Retirement
Posted 10 days ago
Job description
Futu US Inc. stands at the forefront of financial services, housing two SEC registered broker-dealers alongside a cryptocurrency brokerage - all operating under the reputable wing of Futu Holdings Limited (Nasdaq: FUTU).
Our core mission revolves around innovating the investing landscape through a digitized brokerage and wealth management platform that's designed to elevate the investment experience.
Here's a closer look at our key entities:
- Futu Clearing Inc.: An SEC registered FINRA member dedicated to delivering top-tier clearing and execution services globally.
- Moomoo Financial Inc.: As an SEC registered FINRA member, we provide retail investors access to both U.S. and Asian securities markets, ensuring your investment journey is backed by expertise.
- Moomoo Technology Inc.: Offering a data-rich trading platform, we provide unparalleled insights and tools to enhance your trading strategies. Note that this entity is not a licensed broker-dealer.
For deeper insights into our entities and affiliates, explore futuclearing.com or moomoo/com/us to discover the future of investing with confidence and innovation.
Position SummaryWe are seeking an experienced, detail-oriented Senior Futures Risk Analyst to join our Futures Commission Merchant ("FCM") risk management team in Jersey City/Dallas. This individual-contributor role is responsible for monitoring client and proprietary risk exposures, administering trading and credit controls, evaluating margin and collateral adequacy, and escalating emerging market- and credit-risk issues in a timely manner.
The ideal candidate brings hands-on experience in futures clearing or FCM risk operations, including intraday margin monitoring, position-limit oversight, credit controls, and risk escalation procedures. This role will work closely with Clearing Operations, Compliance, Finance, Technology, and business stakeholders to support a disciplined and scalable futures risk-control environment.
Primary Responsibilities- Monitor real-time and end-of-day market, credit, margin, and liquidity exposures across client accounts and proprietary positions.
- Execute established risk-monitoring procedures; identify, investigate, document, and escalate risk-limit breaches and unusual account activity promptly.
- Administer CME Globex Credit Controls ("GC2"), including setting and maintaining approved pre-trade exposure and maximum-order-quantity limits for futures and options.
- Evaluate client margin adequacy, including initial and maintenance margin requirements, variation margin, intraday deficits, and collateral coverage.
- Monitor stress-testing and Value-at-Risk ("VaR") results; identify portfolio vulnerabilities and escalate material adverse-risk scenarios.
- Monitor exchange-imposed and firm-specific position limits, accountability levels, and reportable-position thresholds; investigate and escalate potential breaches.
- Assess the quality, eligibility, concentration, liquidity, valuation, and applicable haircuts of margin collateral.
- Investigate risk alerts that may arise from stale prices, erroneous ticks, feed disruptions, position-data issues, or other market-data-integrity concerns; distinguish genuine risk events from data-driven false signals.
- Execute risk escalation procedures, including trading restrictions, credit-limit changes, and support for partial or full account liquidations in accordance with delegated authority and firm policy.
- Monitor upcoming market-risk events-including economic releases, geopolitical developments, contract expirations, delivery periods, and market holidays-and recommend appropriate adjustments to risk parameters or monitoring thresholds.
- Partner with Clearing Operations, Compliance, Finance, Technology, and the business to resolve risk issues and improve control effectiveness.
- Prepare daily risk reports, exception logs, incident summaries, and management reporting.
- Participate in risk-control testing, procedure development, system enhancements, and regulatory or internal-audit requests.
Requirements
- Bachelor's degree in Finance, Economics, Mathematics, Risk Management, or a related discipline.
- 3-7 years of relevant experience in futures risk management, clearing operations, margin operations, or credit risk at an FCM, clearing firm, futures broker, or exchange.
- Strong understanding of futures contract specifications, settlement and delivery mechanics, and product-specific risk characteristics across equity index, fixed-income, commodity, FX, and options-on-futures products.
- Practical knowledge of initial margin, maintenance margin, variation margin, intraday margin calls, and end-of-day margin processes.
- Experience monitoring client portfolios for market, credit, margin, concentration, and liquidity risk.
- Familiarity with futures margin methodologies, including SPAN, CME CORE, or comparable risk-based margin frameworks.
- Working knowledge of exchange and firm position limits, accountability levels, reportable-position requirements, and account aggregation concepts.
- Experience interpreting stress-testing and VaR results and translating them into appropriate risk decisions or escalations.
- Familiarity with CME Globex Credit Controls ("GC2") or comparable pre-trade credit-control and order-risk-control tools.
- Ability to investigate market-data and position-data anomalies, including stale prices, erroneous trades or ticks, and data-feed disruptions.
- Knowledge of escalation procedures for margin deficiencies, risk-limit breaches, trading restrictions, and forced liquidation.
- Familiarity with CFTC, NFA, and CME Group rules applicable to FCM risk operations.
- Strong analytical judgment, attention to detail, and ability to make sound time-sensitive decisions.
- Strong written and verbal communication skills.
- Direct experience at a self-clearing FCM or CME Clearing Member.
- Experience administering GC2 limits and monitoring blocked, cancelled, or restricted orders.
- Experience evaluating non-cash collateral, including collateral haircuts, concentration limits, and eligibility requirements.
- Series 3 registration or ability to obtain it within a defined period after hire.
- FRM, PRM, CFA, or similar risk-management certification.
- Experience with risk-reporting tools, SQL, Python, Excel/VBA, or data-analysis platforms.
- Risk exposures, margin deficits, and position-limit exceptions are identified, escalated, and resolved within established service-level and governance requirements.
- GC2 and other trading-risk controls are accurate, properly approved, and supported by complete documentation.
- Risk reports and incident summaries are reliable, concise, and actionable for senior management.
- Market-data anomalies are investigated efficiently without allowing genuine client or firm exposures to remain unmanaged.
- The role contributes practical improvements to risk-monitoring workflows, control documentation, reporting, and cross-functional issue management.
Benefits
What We Offer:
- Competitive salary and performance-based bonuses.
- Comprehensive benefits package, including health, dental, and retirement plans.
- Opportunities for professional growth and development.
- A dynamic and collaborative work environment.
Base pay for a successful applicant will depend on a variety of job-related factors, which may include education, training, experience, location, business needs, or market demands. The expected salary range for this role is $125,000-$165,000. This role is also eligible to participate in our discretionary bonus plan.
Disclaimer
The above information on this description has been designed to indicate the general nature and level of work performed by employees within this classification. It is not designed to contain or be interpreted as a comprehensive inventory of all duties, responsibilities, and qualifications required of employees assigned to this job.
Employment with Futu Holdings Limited, including all subsidiaries, is on an at-will basis. This means that either the employee or the Company may terminate the employment relationship at any time, with or without notice and with or without cause, subject to applicable law. Nothing in this job posting or description should be construed as creating an express or implied contract of employment or guarantee of employment for any specific duration.
Futu Holdings Limited, including all subsidiaries, is an equal opportunity employer, and all qualified applicants will receive consideration for employment without regard to race, color, religion, sex, national origin, age, disability status, protected veteran status, or any other characteristic protected by law.
Warning about fake job posts
Please be aware of fraudulent job postings by persons not affiliated with Futu, Moomoo, or their affiliates. Criminals may use fraudulent job postings to obtain your personally identifiable information and/or financial information to steal your identity and/or money.
All communications to you will come from a business email address. We do not hire through text message, social media, or email alone, and any interviews will be conducted in person or through a video call. We will not ask you for bank account information nor ask you to pay anything during the hiring process.
If you see suspicious activity or believe that you have been the victim of a job posting scam, you should report it to your local FBI field office or to the FBI's Internet Crime Complaint Center.
About moomoo
Sourced by ZipRecruiter
Industry
Finance and insurance
Company size
1,001 - 5,000 Employees
Headquarters location
Palo Alto, CA, US
Year founded
2018