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Structured Credit Risk Analyst Jobs (NOW HIRING)

The Credit Risk Analyst assists the Lending Manager in developing strategies to increase lending activity at MyUSA. They perform credit and risk analysis to assess opportunities for increasing direct ...

You own the risk models, the parameters, and the monitoring cadence ... You partner with Capital Markets on structuring and with Product and Engineering to embed credit ...

Credit Risk Analyst

Plano, TX ยท On-site

$37 - $51/hr

Credit Risk Analyst Duration: 06+ Months Location: Plano, TX (Hybrid) Pay Range: $37/hr - $51/hr on W2 What we're looking for: * We are looking for a detail-oriented and data-driven Credit Risk ...

Credit Risk Analyst Duration: 06+ Months Location: Plano, TX (Hybrid) Pay Range: $37/hr - $51/hr on W2 What we're looking for: * We are looking for a detail-oriented and data-driven Credit Risk ...

The Risk Analyst initiates and supports Credit Risk Management analysis and decisions using queries, reports, and visual tools. Produces and analyzes ongoing risk management reports and analyses.

The Risk Analyst initiates and supports Credit Risk Management analysis and decisions using queries, reports, and visual tools. Produces and analyzes ongoing risk management reports and analyses.

Credit Risk Analyst

Alexandria, VA ยท On-site

$110K - $145K/yr

The Quantitative Credit Risk Analyst will support the Political Risk and Trade Credit Underwriting ... Support structuring, pricing, and risk selection through quantitative analysis of historical loss ...

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Senior Credit Risk Analyst Department: Credit Risk Employment Type: Permanent Location: Atlanta ... Ability to evaluate financial statements, cash flow, and credit data to inform structured risk ...

Senior Credit Risk Analyst Department: Credit Risk Employment Type: Permanent Location: Atlanta ... Ability to evaluate financial statements, cash flow, and credit data to inform structured risk ...

We are seeking an exempt-level Credit Risk Analyst to utilize a combination of analytical skills ... Structured Query Language (SQL) and statistical software programs such as R or Python to pull ...

Senior Credit Risk Analyst Department: Credit Risk Employment Type: Permanent Location: Atlanta ... Ability to evaluate financial statements, cash flow, and credit data to inform structured risk ...

SUMMARY The Credit Risk Analyst supports the objectives of the Credit Management Division by performing a variety of functions related to loan and data analytics, credit risk assessment and stress ...

Credit Risk Analyst will be responsible for performing credit assessments and setting limits for a portfolio of Investment Advisors, Broker Dealers, Banks, Insurance companies and other financial ...

Credit Risk Analyst

Des Moines, IA ยท On-site

$59K - $70K/yr

The Credit Risk Analyst supports the Bank's credit risk management function through the evaluation, monitoring, and analysis of member financial institutions and counterparties. This role assesses ...

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Structured Credit Risk Analyst information

See salary details

$37K

$113.9K

$197.5K

How much do structured credit risk analyst jobs pay per year?

As of Sep 13, 2026, the average yearly pay for structured credit risk analyst in the United States is $113,881.00, according to ZipRecruiter salary data. Most workers in this role earn between $82,500.00 and $140,500.00 per year, depending on experience, location, and employer.

What are popular job titles related to Structured Credit Risk Analyst jobs?

For Structured Credit Risk Analyst jobs, the most frequently searched job titles are:

Senior Credit Risk Analyst - Securitized Products 3644622

New York, NY โ€ข On-site

Axiom Path
Recruiting and Staffing Servicesย โ€ขย 51 - 200 employees

$40 - $46/hr

Full-time

Re-posted 14 days ago


Key responsibilities

  • Provide dedicated credit-risk coverage for lender finance, CLO warehouse, and related structured-credit sectors.

  • Evaluate corporate, counterparty, and transaction-level credit risks across assigned portfolios.

  • Perform portfolio analytics, financial modelling, data analysis, scenario analysis, and stress testing.


Job description

Be Part Of A High-Performing Team

Join the securitized products and capital solutions division of a leading global financial institution with a significant presence in the Americas. The team supports complex credit portfolios and financing transactions through disciplined risk analysis, portfolio surveillance, and data-driven decision-making.

This position works closely with credit, risk, analytics, and business stakeholders covering specialized lending and structured credit sectors. The environment is analytical, detail-oriented, and collaborative, with exposure to portfolio-level risk management, counterparty assessment, stress testing, and strategic risk initiatives.

What’s In Store For You

  • Engagement: W2 only; no C2C or 1099.
  • Work directly with securitized products, credit, and risk-management professionals.
  • Gain exposure to complex lending, structured-credit, and counterparty-risk portfolios.
  • Contribute to portfolio modelling, stress testing, and risk-management enhancement initiatives.
  • Work arrangement: Onsite in New York City.
  • Opportunity to support highly visible projects involving multiple financial-services teams.

How You Will Make An Impact

  • Provide dedicated credit-risk coverage for lender finance, CLO warehouse, and related structured-credit sectors.
  • Evaluate corporate, counterparty, and transaction-level credit risks across assigned portfolios.
  • Perform portfolio analytics, financial modelling, data analysis, scenario analysis, and stress testing.
  • Monitor portfolio performance, emerging risks, concentration levels, and counterparty exposure.
  • Support credit reviews, transaction assessments, risk recommendations, and ongoing portfolio surveillance.
  • Develop clear analytical materials that communicate findings, assumptions, and risk considerations to stakeholders.
  • Partner with credit, finance, risk, and business teams on cross-functional initiatives.
  • Help strengthen counterparty-risk management capabilities, reporting, and analytical processes.
  • Contribute to projects involving global financial institutions and other internal coverage teams.
  • Maintain accurate documentation and support governance requirements associated with credit decisions.

Do You Bring Proven Success in Credit Risk and Portfolio Analytics?

  • 5–7 years of relevant experience in credit analysis, counterparty risk, portfolio risk, structured finance, corporate lending, or a related financial-services function.
  • Strong understanding of corporate credit analysis, including financial statements, cash flow, leverage, liquidity, and debt-service capacity.
  • Experience supporting lender finance, CLO warehouses, structured credit, leveraged lending, specialty finance, or comparable sectors is strongly preferred.
  • Demonstrated experience with portfolio-level risk analytics, financial modelling, data analysis, or stress testing.
  • Ability to assess counterparties, transactions, collateral structures, and sector-specific risks.
  • Strong quantitative and analytical skills, with the ability to interpret complex financial and portfolio data.
  • Advanced proficiency with Microsoft Excel and financial modelling tools.
  • Experience preparing credit-review materials, risk assessments, approval documentation, or portfolio-monitoring reports.
  • Strong written communication skills, including the ability to summarize complex credit issues clearly and concisely.
  • Ability to manage multiple priorities while maintaining accuracy and sound judgment.
  • Bachelor’s degree in finance, accounting, economics, mathematics, or a related discipline.
  • CFA, FRM, MBA, or other relevant advanced credentials are beneficial but not required.