Charles Schwab & Company, Inc.

Charles Schwab & Company, Inc.

Manager - Credit Risk Analyst

Westlake, TX, US

Sponsorship not specifiedDetected 15 days ago
PythonSQLData AnalysisData VisualizationExcelLoad TestingProblem SolvingCFA

About the role

  • Your Opportunity At Schwab, you're empowered to make an impact on your career.
  • This is a role where you will be able to grow your expertise through consistent challenges with the backing of passionate leaders who will value your contributions and encourage your development.

Responsibilities

  • Manage counterparty credit risk across securities financing activities, including agent lending, securities lending, tri-party repo, and other secured financing transactions.
  • Perform counterparty due diligence and credit analysis for broker-dealers, banks, custodians, agent lenders, and other financial institution counterparties, including ongoing monitoring of financial condition and creditworthiness.
  • Evaluate transaction structures, collateral arrangements, margin methodologies, and risk mitigants to support prudent risk-taking and effective exposure management.
  • Partner with Treasury, Legal, and second line Risk teams to support counterparty onboarding, transaction execution, and strategic securities financing initiatives.
  • Develop portfolio analytics, stress testing, and management reporting to monitor counterparty exposures, identify emerging risks, and support risk-informed decision making across the securities financing portfolio.

Requirements

  • Bachelor's degree in Finance, Economics, Business, or a related field.
  • 5+ years of experience in counterparty credit risk, credit risk management, treasury, securities financing, capital markets, or related financial services disciplines.
  • Strong understanding of financial institution credit analysis, financial statement assessment, and key bank and broker-dealer risk metrics.
  • Experience evaluating counterparty exposures associated with securities lending, repurchase agreements, agent lending, or other secured financing transactions.
  • Knowledge of collateral, netting, margin methodologies, and exposure mitigation techniques.
  • Ability to effectively communicate complex risk topics to senior management and cross-functional stakeholders.
  • Experience with broker-dealers, banks, custodians, prime brokerage, clearing, securities financing, or capital markets businesses.
  • Knowledge of securities financing market infrastructure, including custody, settlement, tri-party collateral management, and securities lending operating models.
  • Experience analyzing financial institutions, including banks, broker-dealers, custodians, agent lenders, and other market participants.
  • Familiarity with regulatory frameworks including Basel III, capital requirements, liquidity requirements, and counterparty credit risk regulations.
  • Strong analytical, problem-solving, and quantitative skills.
  • Proven ability to manage multiple priorities and drive initiatives to completion.
  • Self-motivated, able to multi-task, perform under strict deadlines, and able to develop new processes.
  • Advanced Excel and data analysis skills.
  • CFA, FRM, CPA, or other relevant professional designations.

Skills

  • Here, innovative thought meets creative problem solving, helping us "challenge the status quo" and transform the finance industry together.
  • The mandate encompasses liquidity, market, capital, counterparty credit, and regulatory risk management across the Finance organization.

Compensation

  • In addition to the salary range, this position is also eligible for bonus or incentive opportunities

Benefits

  • Monitor portfolio exposures, limit utilization, collateral coverage, and concentration risk, ensuring activities remain within established limits, risk appetite, and governance standards.

This listing is sourced directly from Charles Schwab & Company, Inc.'s careers page and normalized into a canonical job model.