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Risk Analyst
Hammonton, NJ
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Market & Credit Risk Analyst Lead
The Credit & Market Risk Analyst is responsible for analyzing and managing credit and market risk exposures, with primary focus on credit risk and a secondary focus on market risk. The role evaluates counterparty creditworthiness, monitors exposure concentrations, and supports market risk analytics including sensitivity, stress testing, and scenario analysis. Additionally, the Credit & Market Risk Analyst develops insights through data analysis, enhances risk measurement tools, and contributes to risk frameworks that inform decision-making, protect financial performance, and support regulatory and governance standards.
Essential Duties:
Serves as subject matter expert for credit risk across complex or high-impact portfolios.
Oversees evaluation of credit exposures, including concentration risk and enterprise-level implications.
Defines and refines credit risk frameworks, methodologies, and risk appetite alignment.
Sets and validates credit strategies, limits, and governance standards.
Leads market risk analytics including advanced scenario design, stress frameworks, and interpretation.
Provides strategic insight into how market and credit risk interact and impact enterprise performance.
Directs development of risk tools, models, and analytics to improve measurement and forecasting.
Establishes and enhances data, reporting, and automation capabilities across risk functions.
Challenges and evolve existing assumptions, methodologies, and risk quantification approaches.
Influences cross-functional stakeholders and support senior leadership decision-making.
Provides technical oversight and guidance to analysts across levels.
Performs other duties as assigned.
Required Skills:
Expert-level understanding of credit and market risk methodologies and frameworks.
Demonstrated ability to design and implement risk models and analytics.
Strong leadership, stakeholder influence, and decision-support capabilities
Ability to operate with high autonomy and shape risk strategy and governance
Bachelor's degree in Finance, Economics, Accounting, or related field; advanced degree or professional certification strongly preferred with 8 or more years of progressive experience in credit risk and/or market risk
Master's degree and 6 years of relevant experience
Equivalent experience may be considered in lieu of degree.
Candidates with varying levels of experience will be considered and may be aligned to an appropriate level based on qualifications.