Senior CRE Risk & Analytics Lead

Voya Financial, Inc.

Atlanta (GA)

On-site

USD 90,000 - 100,000

Full time

9 days ago
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Benefits offered by this job

Health insurance
401(k) matching
Paid time off

Job summary

Voya Financial, Inc. is seeking a risk analytics professional to support risk management, performance monitoring, valuation, reporting, and data analytics for a $15B+ institutional CRE debt portfolio.

The role focuses on portfolio surveillance, annual loan reviews, and credit ratings, with on-site presence near the Atlanta office up to 3–5 days per week to align with team priorities. The candidate will develop scalable risk analytics and automation tools, deliver executive-level reporting, and

Qualifications

  • Bachelor's degree required.
  • 3 to 6 years of experience in commercial real estate finance, accounting, credit risk, portfolio analytics, asset management, valuation, investment analysis, or related field.
  • Strong analytical, written, and interpersonal skills with the ability to synthesize complex information for senior leadership, investment committees, and portfolio reviews.
  • Strong attention to detail with the ability to identify trends, anomalies, and risks through thorough review of financial, credit, valuation, and portfolio data.
  • Demonstrated ability to manage multiple priorities and deliver high-quality analyses in a dynamic environment.

Responsibilities

  • Manage and analyze credit risk, performance, and valuation trends across a $15B+ CRE debt portfolio, including property-level cash flow, market conditions, sponsor strength, tenant exposure, maturity risk, borrower performance, and macro risks.
  • Perform annual loan underwriting and credit reviews, evaluating property financial performance, valuation trends, refinancing risk, collateral quality, and key credit metrics.
  • Assign, monitor, and support credit ratings, including rating migration analysis, watchlist identification, early-stage deterioration, and portfolio trends.
  • Enhance processes for early detection of potential problem loans through stress testing and portfolio surveillance.
  • Develop, maintain, and improve portfolio dashboards, risk analytics tools, and executive-level reporting.
  • Analyze asset performance, credit trends, concentration risk, valuation changes, maturity profiles, and key risk indicators across the portfolio.
  • Support ad hoc audit requests, portfolio analytics initiatives, and internal/external survey requests.
  • Contribute to enhanced data analytics, reporting automation, and scalable portfolio management tools.

Education

Bachelor's degree

Job description

Voya Financial, Inc. is seeking a risk analytics professional to support risk management, performance monitoring, valuation, reporting, and data analytics for a $15B+ institutional CRE debt portfolio.

The role focuses on portfolio surveillance, annual loan reviews, and credit ratings, with on-site presence near the Atlanta office up to 3–5 days per week to align with team priorities. The candidate will develop scalable risk analytics and automation tools, deliver executive-level reporting, and

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