Job Summary: We're seeking a Credit Risk Analyst who will be part of our growing Portfolio ... senior team members. * Strong written and verbal communication skills, including the ability to ...
Job Summary: We're seeking a Credit Risk Analyst who will be part of our growing Portfolio ... senior team members. * Strong written and verbal communication skills, including the ability to ...
Provide counterparty credit risk oversight including the reporting and analysis of the following counterparty related information: * Provide independent quantitative and qualitative analysis of ...
Provide counterparty credit risk oversight including the reporting and analysis of the following counterparty related information: * Provide independent quantitative and qualitative analysis of ...
AVP Credit Risk Modelling
Toronto, ON · Hybrid
About the Role Reporting to the Senior Vice President of Financial Risk, you will play a critical second-line role, as the owner of IFRS-9 Expected Credit Loss (ECL) modelling and quarterly ...
AVP Credit Risk Modelling
Toronto, ON · Hybrid
About the Role Reporting to the Senior Vice President of Financial Risk, you will play a critical second-line role, as the owner of IFRS-9 Expected Credit Loss (ECL) modelling and quarterly ...
Group Risk Specialist (ATH 5211)
CA$96K - CA$136K/yr
... of customer credit risk. Play an integral role in supporting engagement of senior management in socializing and gaining formal approval of recommendations. Through advanced analytics apply ...
Group Risk Specialist (ATH 5211)
CA$96K - CA$136K/yr
... of customer credit risk. Play an integral role in supporting engagement of senior management in socializing and gaining formal approval of recommendations. Through advanced analytics apply ...
Senior Risk Analyst
Brampton, ON · Hybrid
Senior Risk Analyst Corporate Services - Treasury Services (Loss Management & Insurance Services) Status: (1) Regular Full-Time position Hiring Range: $94,455 - $106,262 per annum plus comprehensive ...
Senior Risk Analyst
Brampton, ON · Hybrid
Senior Risk Analyst Corporate Services - Treasury Services (Loss Management & Insurance Services) Status: (1) Regular Full-Time position Hiring Range: $94,455 - $106,262 per annum plus comprehensive ...
Risk Analyst I
Toronto, ON · Hybrid
CA$57K - CA$98K/yr
... senior risk leaders across natural catastrophe, specialty lines, and enterprise risk functions ... Support Credit and Surety accumulation monitoring processes, including data preparation, validation ...
Risk Analyst I
Toronto, ON · Hybrid
CA$57K - CA$98K/yr
... senior risk leaders across natural catastrophe, specialty lines, and enterprise risk functions ... Support Credit and Surety accumulation monitoring processes, including data preparation, validation ...
Manager, Credit Risk Strategic Initiatives (RESL) (ATH 5274)
Toronto, ON · On-site
CA$96K - CA$136K/yr
Role Overview This role leads strategic credit risk initiatives within the RESL portfolio. It is ... Analytics and AI initiatives address real risk needs and meet governance expectations * Senior ...
Manager, Credit Risk Strategic Initiatives (RESL) (ATH 5274)
Toronto, ON · On-site
CA$96K - CA$136K/yr
Role Overview This role leads strategic credit risk initiatives within the RESL portfolio. It is ... Analytics and AI initiatives address real risk needs and meet governance expectations * Senior ...
Experience in other credit risk families, such as credit adjudication and account management models ... Note- We welcome applications from Senior Analyst candidates with fewer years of experience ...
Experience in other credit risk families, such as credit adjudication and account management models ... Note- We welcome applications from Senior Analyst candidates with fewer years of experience ...
... the Senior Director, helping ensure a consistent approach to high net worth lending decisions ... It's an asset if you have completed Level I or higher of the Chartered Financial Analyst program.
... the Senior Director, helping ensure a consistent approach to high net worth lending decisions ... It's an asset if you have completed Level I or higher of the Chartered Financial Analyst program.
... the Senior Director, helping ensure a consistent approach to high net worth lending decisions ... It's an asset if you have completed Level I or higher of the Chartered Financial Analyst program.
... the Senior Director, helping ensure a consistent approach to high net worth lending decisions ... It's an asset if you have completed Level I or higher of the Chartered Financial Analyst program.
Senior Analyst
Richmond Hill, ON · On-site
As a Senior Analyst in the Credit Risk Analytics team at National Bank, you'll be responsible for the IFRS-9 reporting and analytics, and model performance monitoring. This job allows you to have a ...
Senior Analyst
Richmond Hill, ON · On-site
As a Senior Analyst in the Credit Risk Analytics team at National Bank, you'll be responsible for the IFRS-9 reporting and analytics, and model performance monitoring. This job allows you to have a ...
Vice President, Trade Risk Distribution & Trade Credit Insurance Management
CA$120K - CA$135K/yr
Perform portfolio analysis and identify emerging risks, trends, and concentrations. * Support ... Risk transfer and distribution strategies * Trade credit insurance products and underwriting ...
Vice President, Trade Risk Distribution & Trade Credit Insurance Management
CA$120K - CA$135K/yr
Perform portfolio analysis and identify emerging risks, trends, and concentrations. * Support ... Risk transfer and distribution strategies * Trade credit insurance products and underwriting ...
Makes recommendations to senior leaders on strategy and new initiatives, based on an in-depth ... Conducts independent analysis and assessment to resolve strategic issues. * Acts as the prime ...
New
Makes recommendations to senior leaders on strategy and new initiatives, based on an in-depth ... Conducts independent analysis and assessment to resolve strategic issues. * Acts as the prime ...
New
This includes in-depth analysis of company financials and industry risks, active monitoring, risk ... senior management. The ability to work in a dynamic environment, respond to emerging risks, and ...
This includes in-depth analysis of company financials and industry risks, active monitoring, risk ... senior management. The ability to work in a dynamic environment, respond to emerging risks, and ...
Oracle Primavera Risk Analysis, Acumen Risk, etc.) and provide the interpretation of results (e.g. Distribution S Curve Graph, Sensitivity Analysis Tornado Chart and Deep Dive Schedule Logic ...
Oracle Primavera Risk Analysis, Acumen Risk, etc.) and provide the interpretation of results (e.g. Distribution S Curve Graph, Sensitivity Analysis Tornado Chart and Deep Dive Schedule Logic ...
Data Analytics & Reporting Are you an expert in credit risk model development? As the Senior Manager, Wholesale Credit Methodology, you will play a crucial role in shaping the credit risk models that ...
Data Analytics & Reporting Are you an expert in credit risk model development? As the Senior Manager, Wholesale Credit Methodology, you will play a crucial role in shaping the credit risk models that ...
... analyses into clear recommendations for senior stakeholders. Managers are expected to take ... Proficiency in standard credit risk practices, including expected loss methodologies for ...
... analyses into clear recommendations for senior stakeholders. Managers are expected to take ... Proficiency in standard credit risk practices, including expected loss methodologies for ...
This includes in-depth analysis of company financials and industry risks, active monitoring, risk ... senior management. The ability to work in a dynamic environment, respond to emerging risks, and ...
This includes in-depth analysis of company financials and industry risks, active monitoring, risk ... senior management. The ability to work in a dynamic environment, respond to emerging risks, and ...
Senior Director, Commercial & Leveraged Finance, Commercial & Credit Risk Management
Toronto, ON · Hybrid
... and a strong risk culture. You'll also provide clear, well-reasoned recommendations to senior ... Provide balanced analysis and clear recommendations that support timely, well-informed credit ...
Senior Director, Commercial & Leveraged Finance, Commercial & Credit Risk Management
Toronto, ON · Hybrid
... and a strong risk culture. You'll also provide clear, well-reasoned recommendations to senior ... Provide balanced analysis and clear recommendations that support timely, well-informed credit ...
Senior Director, Commercial & Leveraged Finance, Commercial & Credit Risk Management
Toronto, ON · Hybrid
... and a strong risk culture. You'll also provide clear, well-reasoned recommendations to senior ... Provide balanced analysis and clear recommendations that support timely, well-informed credit ...
Senior Director, Commercial & Leveraged Finance, Commercial & Credit Risk Management
Toronto, ON · Hybrid
... and a strong risk culture. You'll also provide clear, well-reasoned recommendations to senior ... Provide balanced analysis and clear recommendations that support timely, well-informed credit ...
Senior Credit Risk Analyst information
See Vaughan, ON salary details
$59.1K - $69.1K
6% of jobs
$75.1K is the 25th percentile. Wages below this are outliers.
$69.1K - $79K
31% of jobs
The median wage is $87.3K / yr.
$79K - $88.9K
16% of jobs
$88.9K - $98.9K
18% of jobs
$101.4K is the 75th percentile. Wages above this are outliers.
$98.9K - $108.8K
18% of jobs
$108.8K - $118.7K
6% of jobs
$118.7K - $128.7K
0% of jobs
$128.7K - $138.6K
0% of jobs
$138.6K - $148.5K
0% of jobs
$148.5K - $158.5K
0% of jobs
$158.5K - $168.4K
5% of jobs
$59.1K
$94.9K
$168.4K
How much do senior credit risk analyst jobs pay per year?
What are some common challenges faced by a senior credit risk analyst when assessing complex credit portfolios?
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Cities near Vaughan, ON with the most Senior Credit Risk Analyst job openings:

Full-time
Posted 13 days ago
MUFG rating
8.1
Based on 7 frontline employees who took The Breakroom Quiz
Job description
Do you want your voice heard and your actions to count?
Discover your opportunity with Mitsubishi UFJ Financial Group (MUFG), one of the world's leading financial groups. Across the globe, we're 150,000 colleagues, striving to make a difference for every client, organization, and community we serve. We stand for our values, building long-term relationships, serving society, and fostering shared and sustainable growth for a better world.
With a vision to be the world's most trusted financial group, it's part of our culture to put people first, listen to new and diverse ideas and collaborate toward greater innovation, speed and agility. This means investing in talent, technologies, and tools that empower you to own your career.
Join MUFG, where being inspired is expected and making a meaningful impact is rewarded.
Job Summary:
We're seeking a Credit Risk Analyst who will be part of our growing Portfolio Management Group. You will handle credit coverage for clients in our Diversified Industrials segment for investment grade and non-investment grade public and privately owned corporate borrowers. You'll prepare detailed credit analyses and the required credit applications which include the evaluation of corporate, regulatory and industry risk, historical operating performance, projected operating performance, and capital structure.
As an Analyst, you'll assess risk factors associated with each credit and determine the appropriate risk ratings based on established policies and guidelines. You will support active credit management and new transaction underwriting utilizing solid credit and analytical skills, analyzing risks and mitigants, including monitoring credits for potential upgrades, downgrades or general credit deterioration with the goal of maximizing the bank's net income while minimizing credit costs.
Responsibilities:
Perform due diligence on new transactions as well as regularly scheduled evaluation of the existing loan portfolio.
Coordinate and communicate account information across various constituencies throughout the organization.
Responsible for knowledge of particular industries and all current events in assigned portfolio utilizing internal and external sources.
Oversee covenants compliance database and facility closing due diligence, including documentation.
Attend client meetings when appropriate.
Participate in special projects as assigned.
Advanced Credit/Underwriting Solutions:
Work within a deal team environment (with Global Relationship Managers, Credit Administration, Sponsor Coverage, and Capital Markets) to support the development and analysis of financing structures/strategies.
Prescreen proposed transactions to identify critical structural issues and risks, balancing institutional policy with business development needs.
Support credit analysis for structured credit transactions (derivatives transactions, receivable securitizations).
Understand and maintain knowledge of industries represented in portfolio, including technical aspects and regulatory issues.
Conduct site visits and participate in client and bank meetings as necessary.
Policy and Deal Advocacy:
Support the communication with the credit approval division including final hold level strategies to ensure alignment of risk strategy and policy.
Evaluate and establish appropriate ratings for transactions and correlate appropriate exposure level with regard to exposure on both a transaction and group level.
Ensure compliance with policy and regulatory requirements.
Skills and Experience:
Bachelor's degree required; degree in Finance, Accounting, Economics, or related field preferred (CFA or MBA is a plus)
Minimum 1 year experience in commercial banking, corporate banking, private credit, credit risk management or related financial services roles.
Foundational understanding of corporate finance, accounting, financial statements, cash flow analysis, and credit risk fundamentals.
Strong quantitative, analytical, and problem-solving skills with high attention to detail.
Experience with three-statement financial modeling, valuation, and credit analysis.
Ability to interpret business performance, industry trends, and transaction structures with guidance from senior team members.
Strong written and verbal communication skills, including the ability to summarize analysis clearly and concisely.
Ability to work collaboratively, manage multiple priorities, meet deadlines, and respond effectively in a fast-paced environment.
Completion of a formal credit training program is preferred.
About MUFG
Sourced by ZipRecruiter
Discover your opportunity with Mitsubishi UFJ Financial Group (MUFG), the 6th largest financial group in the world. Across the globe, we're 160,000 colleagues, striving to make a difference for every client, organization, and community we serve. We stand for our values, building long-term relationships, serving society, and fostering shared and sustainable growth for a better world. With a vision to be the world's most trusted financial group, it's part of our culture to put people first, listen to new and diverse ideas and collaborate toward greater innovation, speed and agility. This means investing in talent, technologies, and tools that empower you to own your career.
Industry
Banking and credit intermediation
Company size
10,000+ Employees
Headquarters location
New York, NY, US