Remotely
financial modelingcredit underwritingrisk analysismicrosoft officecovenant monitoringportfolio monitoringpd models
Job Description
📋 Description
- Partner with Portfolio Managers on credit underwriting, portfolio monitoring, financial analysis
- Perform critical analysis to identify risks, issues, documentation needs, and potential obstacles
- Enter and maintain credit information in banking systems accurately and consistently, with minimal
- Prepare risk-rating scorecards and tickler-event analyses, interpret results, and recommend
- Develop and use risk models, projection models, and Probability of Default (PD) models with
- Identify required monitoring activities, verify financial covenants, update covenant calculations
🎯 Requirements
- Bachelor’s degree in Business Administration, Finance, Accounting, or a related field.
- At least 2 years of commercial banking experience.
- Strong understanding of financial and risk analysis, including the ability to develop and interpret
- Knowledge of commercial banking products and services, corporate business structures, and relevant
- Working knowledge of U.S. government regulations and the regulatory environment affecting
- Familiarity with local or regional markets is preferred but not required.
🎁 Benefits
- Salary: $54,400–$111,500 annual base salary, depending on factors including skills, experience
- Incentive compensation: Eligibility to participate in an incentive compensation plan based on
- Healthcare: Comprehensive medical, dental, and vision coverage.
- Retirement: 401(k) plan with an employer match.
- Employee ownership: Employee stock purchase plan with an employer match.
- Time off: Flexible paid time off and comprehensive leave programs.