This job has expired, please see additional jobs below
CVP, Senior Credit Risk Analyst
NYLIFE Securities, Inc.
New York, NY, United States
Job Details - this job has expired, please see similar jobs below
New York Life Insurance Company is the largest mutual life insurance company in the United States. Founded in 1845 and headquartered in New York City, New York Life reported 2017 operating earnings of $2.06 billion. Total assets under management at year end 2017, with affiliates, totaled $586 billion.
New York Life holds the highest possible financial strength ratings currently awarded to any life insurer from all four of the major ratings agencies: A.M. Best, A++; Fitch AAA; Moody’s Aaa; Standard & Poor’s AA+ (Source: Individual independent rating agency commentary as of 8/1/17).
Financial strength, integrity and humanity—the values upon which New York Life was founded—have guided the company’s decisions and actions for over 170 years.
Key Responsibilities:
• Develop and maintain framework for the oversight of fundamental credit risk analysis of New York Life General Account assets
• Review and enhance modeling tools and run sensitivity analysis
• Partner with credit quantitative analytics team and asset sectors as needed for top counterparty analysis
• Analyze credit quality of collateral pools, review models, performance, macroeconomic and sector factors
• Monitor ongoing credit risk of the NYL investor portfolio
• Partner with asset sectors for internal rating review and validation
• Develop and maintain credit risk policy
• Support management for the preparation various credit risk dashboard and reporting
• Assist in the development, Review and recommendation credit risk limit
Essential Business Experience and Technical Skills:
• 7+ years of risk management experience with specific background in fundamental credit risk analytics or equivalent investment experience
• Experience with credit analysis and valuation of structure finance (CMBS, RMBS, ABS etc.), real estate, and corporate securities
• Relationship management expertise
• Strong verbal, written communication and partnering skills
• Ability to prioritize multiple tasks in a fast paced, changing environment
• Undergraduate degree required; advanced degree preferred
• Proven ability to solve complex risk management problems
• Experience with rating agencies or similar investment experience preferred
• Team player who can adapt to changing priorities
• Experience with Intex, Aladdin platform tools preferred
• Strong Excel and Power Point skills
Key Relationships:
• Reports to:VP, Head of Credit Risk
SF:LI-AM1
SF:EF-AM1
EOE M/F/D/V