Credit & Liquidity Risk Analyst (Charlotte, NC (Hybrid) or Remote) at Brighthouse Financial
Charlotte, NC 28277, USA -
Full Time


Start Date

Immediate

Expiry Date

05 Dec, 25

Salary

90000.0

Posted On

07 Sep, 25

Experience

3 year(s) or above

Remote Job

Yes

Telecommute

Yes

Sponsor Visa

No

Skills

Good communication skills

Industry

Financial Services

Description

WE’RE LOOKING FOR PEOPLE WHO HAVE:

  • Bachelor’s degree. Computer Science, Economics, Finance, Accounting, Math, or Engineering majors preferred.
  • 3+ years of relevant work experience preferred, including knowledge of financial concepts related to insurance liquidity risk, investment credit risk and/or macroeconomic forecasting.
  • Strong Excel. Experience with Bloomberg, Aladdin, Macrobond a plus.
  • Strong quantitative and analytical skills.
  • Self-starter with intellectual curiosity, who embraces a steep learning curve, and seeks out responsibility.
    Research shows some people may not apply for a role if they don’t check all the boxes of a job description. If you don’t check every box listed, that’s okay. We would love to hear from you.

How To Apply:

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Responsibilities
  • Assist in the management of credit and liquidity risk, with significant collaboration with Investment and Treasury colleagues.
  • Produce credit metrics, liquidity coverage ratios and contingent liquidity sources and uses reports.
  • Support stress testing governance, working with colleagues in Finance on annual and quarterly stress testing initiatives. Assist colleagues with development of scenarios and assumptions.
  • Assist Chief Economic Strategist in preparation of macroeconomic analyses, reports and forecasts.
  • Assist in investment and counterparty risk limit monitoring.
  • Collaborate in the development of monthly risk metric reports.
  • Prepare materials for management committees and Board level meetings.
  • Partner with Risk Management colleagues in various ad hoc analyses, in particular covering macroeconomic strategy and market risk.
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