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Senior Credit Model Risk Analyst & Team Lead

Senior Credit Model Risk Analyst & Team Lead

Federal Home Loan Bank of BostonBoston, MA, United States
20 hours ago
Job type
  • Full-time
Job description

Senior Credit Model Risk Analyst & Team Lead

Location Boston

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The Federal Home Loan Bank of Boston is a leading provider of wholesale funding for housing and community finance in New England serving more than 420 financial institutions across the region. The Federal Home Loan Bank of Boston is committed to making New England a better place to live and do business, and our employees are integral to our success. As a cooperative, we are owned by more than 420 banks, credit unions, insurance companies, and community development financial institutions that access tens of billions of dollars of our reliable, wholesale funding each year. Our funds are a vital resource that helps our members succeed, provide families with safe, decent affordable housing, and generate economic development that creates jobs in communities throughout our region.

Our highly skilled team of 200 is innovative, collaborative, and passionate about the work we do. We seek other professionals excited to share their knowledge, talent, and passion for our mission to join our team. We offer opportunities for career development, robust benefits, and a work-life balance.

Position Summary

As a hands-on Analyst (Internal title is Senior Credit & Collateral Risk Analyst & Team Lead) for 2 Analysts, the primary responsibility of this position will be analyzing the Bank’s Credit Risk Models and valuation of Collateral pledged to the Bank to secure advances and other extensions of credit. This entails conducting credit and market risk analysis of, and reporting on, the Bank’s Credit Models and Collateral Valuation risk, and additional topical research. This role offers a pathway to people management within our Credit and Risk functions at the Bank.

The senior analyst will gain and deploy working knowledge of all relevant internal and external models and tools used to measure these risks. The senior analyst is also expected to assist in the development and maintenance of internal code to support credit and collateral analytics. The senior analyst is expected to have familiarity with the pricing risks of a large range of financial instruments including, but not limited to, debentures, mortgage-backed securities, and various residential and commercial loan products. The senior analyst is also expected to know and reference all internal Credit and Collateral Valuation Procedures and assist in their ongoing development.

Duties related to credit models include, but are not limited to, testing model version upgrades and model validation activities such as benchmarking, back-testing, and updating of loan databases using internally developed applications. Duties related to Collateral Valuation include, but are not limited to, cashflow pricing analysis, analyzing rate shock scenarios using distribution and rank-order analysis, and referencing prospectus of securities that may be in question.

The ideal candidate is a critical thinker, enjoys working on multiple projects that require skills in data research and analytics, and is comfortable performing, reviewing the work of others and learning in a hybrid work model. Data is often decentralized, and the candidate must be comfortable with aggregating and handling large data sets and meeting deadlines. The ideal candidate is a clear, effective communicator, may have some people management experience (or demonstrates interest in building this skillset) and brings a positive attitude with a desire to learn.

This role will have a hybrid work schedule in our Boston office in accordance with the Bank’s Hybrid Work Program. More time will be expected in the office to support onboarding initially, up to 90 days.

Anticipated Pay Range

The anticipated base pay range for this role is $97,750 - $149,500

This role is based in Boston with weekly in-office expectations. The base pay posted represents the annual base pay range or hourly wage range that we expect to offer for this job opportunity. The actual base salary offer will depend on a variety of factors including relevant experience, required skills and other relevant factors. The range noted here is not indicative of all positions in the job grade within which this position falls.

All Bank full-time positions are eligible to participate in our annual incentive program and our robust total rewards offerings, in addition to the base pay.

For more information, visit Careers - FHLBank Boston ()

Specific Responsibilities

Provide training, some guidance for and review the work of a small team of Credit and Collateral Risk Analysts.

Maintain and develop internal controls on analytics produced by Credit and Collateral Risk Analysts.

Performance monitoring of all Bank internal and external Credit and Valuation Models.

Prepare and present periodic reports for review and presentation in Committee packages, Periodic Financial Statements, Federal Housing Finance Agency (FHFA), and / or Office of Finance data requests.

Upkeep of Python code related to analytical operations within Credit and Collateral Risk.

Liaison to internal and external Model Validators and their review of model governance.

Aid in performing initial testing of upgrades to models / tools, including internally developed code.

Complete special projects to meet the overall goals and objectives of the Credit Department. These special projects often require creation of ad hoc reports and narrative of the subject matter using internal and external data.

Effectively write or review business memos independently.

Other duties as assigned.

Knowledge / Skills

Working knowledge of fixed income instruments and their valuation.

Intermediate skills with Python, SQL, and Power BI.

Ability to work within defined time frames to meet internal and external reporting deadlines.

Ability to review reports for reasonability, accuracy, and appropriateness.

Basic familiarity with machine learning, statistics, and probability theory.

Effective communication skills, both written and verbal.

Ability to work independently or with a team.

Experience

5-7 years of relevant experience in the Financial Services industry with an emphasis on analytics.

Current or prior people management or supervisory experience strongly preferred.

Experience with Pandas, GeoPandas, SQL Alchemy, YaML, and Requests libraries preferred.

Experience with Python machine learning libraries (e.g. SciPy, scikit-learn) is a plus.

Ability to create Power BI reports.

Ability to perform basic queries with SQL.

Experience with models germane to fixed income instrument analysis is preferred.

Education

  • A bachelor’s degree in finance, economics, quantitative discipline, or equivalent work experience required.

As an Equal Opportunity Employer, we strongly encourage applicants from every ethnicity, color, religion, gender, age, national origin, disability, veteran or parental status and sexual orientation.

Nothing in this job description restricts management's right to assign or reassign duties and responsibilities to this job at any time.

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Credit Risk Analyst • Boston, MA, United States

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