Credit Analyst III - Reg Fund/credit Risk - Global Markets Credit

Bank of America Bank of America · Banking · New York, NY

This role focuses on analyzing and managing credit risk for regulated funds and asset managers within Bank of America's Global Markets division. Responsibilities include assessing client risk profiles, negotiating documentation, monitoring credit quality, and ensuring adherence to policies and regulatory requirements. The role requires experience in credit risk analysis, financial modeling, and understanding of financial products and legal documentation.

What you'd actually do

  1. Manage a fast-paced, high-volume portfolio of AMRS-based regulated and alternative fund clients from on-boarding through to underwriting/credit approval and ongoing monitoring and oversight.
  2. Conduct detailed analysis of clients demonstrating a good understanding of investment strategies, liquidity, leverage and the trading products & associated risks, that the funds trade.
  3. Assign internal counterparty risk ratings and recommend risk limits and guardrails based on clients’ risk profile
  4. Liaise with Legal to negotiate relevant documentation (ISDA, GMRA, MSFTA, MSLA, etc.) for trading activities.
  5. Perform ongoing monitoring of clients regarding changes in credit quality, adherence to risk appetite/limits and policies.

Skills

Required

  • 1+ years of experience in commercial and/or corporate credit risk, preferably covering regulated and/or alternative fund clients
  • Ability to manage significant deal flow often on tight deadlines in a dynamic and fast-paced environment
  • Self-starter with excellent communication skills, problem solver with an ability to negotiate effectively
  • Able to work as part of a team, willing to support more junior members of the team as required
  • Good quantitative and Excel based skills

Nice to have

  • Bachelor's Degree in Finance, Economics, Accounting or similar fields
  • Experience using Bloomberg or similar market data platforms
  • Understanding of Global Markets suite of products, market risk metrics and legal documentation.

What the JD emphasized

  • credit risk policies
  • risk appetite
  • regulatory related reporting
  • regulated and alternative fund clients
  • credit risk
  • market
  • reputational risk
  • risk limits
  • risk appetite/limits and policies
  • risk governance
  • operational, reputational and market risk issues
  • Credit and Risk Assessment
  • Regulatory Compliance