Portfolio Risk Analyst
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![]() United States, Maryland, Rockville | |||||||||
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Portfolio Risk Analyst Location : Location
US-MD-Rockville
Overview We are a values driven organization putting Relationships FIRST. EagleBank (NASDAQ - EGBN) is focused on being Flexible, Involved, Responsive, Strong, and Trusted. By prioritizing meaningful connections with our customers, employees, and shareholders, we relentlessly deliver the most compelling, valuable service to our customers. We understand the need to be creative and flexible when it comes to telecommuting and other alternative work arrangements. This position is eligible for our hybrid remote work and will work in the Rockville, MD office four days per week. Responsibilities The Portfolio Risk Analyst supports the Bank's enterprise risk management strategy through the monitoring of credit, concentration (including geographic, industry and interest rate), and systemic risks within the Bank's loan portfolio. Support the Bank's Allowance for Credit Losses (ACL) process and production of related information and reporting. Produce periodic reports on the loan portfolio incorporating economic and market data to provide guidance to credit risk management activities regarding the risk profile of the commercial loan portfolio. Monitor existing and potential loan activity against regulatory and Bank established exposure limits. Qualifications Requirements:
Bachelor's Degree in Arts/Sciences (BA/BS) in Accounting, Business, Finance, or related field
Preferences:
Don't meet all the requirements? We encourage you to still apply if you think you are the right person to join our community. We are always interested connecting with people inspired by our mission and values. If you aren't hired for this position, your resume will remain available for the next year and might be considered for future openings. Note: You can update your resume as often as needed. |