Sr Risk Analyst
This is a hybrid role located in Raleigh, NC or Charlotte, NC with the expectation that time working will regularly take place inside and outside of a company office. Two days a week in office. Open to remote in several markets for highly qualified candidate.
Responsibilities
Execution of credit risk models with an in-depth understanding of CECL standards across commercial lending products to produce quarterly ACL results.
Analyze results, perform data analysis, and cleaning tasks to support model execution and reporting.
Liaise with business and technical partners to enhance / fix credit risk models in an enterprise level model execution framework.
Document and follow through issues encountered during all phases of ACL execution
Maintain clear and accurate documentation of the ACL execution process
Manage ACL reporting dashboards for quarterly reporting.
Stay current with industry best practices and regulatory guidance.
Qualifications
Bachelor's degree and 2 years of experience in financial, statistical, or quantitative analysis experience OR High school diploma or GED and 6 years of experience in financial, statistical, or quantitative analysis experience
Preferred Qualifications :
Master's degree in Statistics, Mathematics, Finance, or related quantitative field
At least 4 years of progressive experience in credit risk model execution.
Hands on experience using SQL, Python, SAS, Tableau, Agile Methodologies
Deep understanding of CECL, CCAR, ACL
Senior Risk Analyst • Raleigh, NC, US