Strategic Analysis Manager - Credit Risk & Portfolio Growth

Capital One

McLean (VA)

On-site

USD 165,000 - 188,000

Full time

14 days+
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Benefits offered by this job

Health benefits
Competitive pay
Incentives

Job summary

Capital One is seeking a Business Analysis Manager in McLean, VA, to lead strategic analytics for the Commercial loan portfolio. You will partner with data analysts to build scenario models and tools, engage senior executives, and shape go‑forward strategies balancing risk and return.

Bring at least 3 years of analysis experience, a quantitative degree, and strong communication skills to drive decisions and influence across Product, Tech, Underwriting, Credit, and Sales.

Qualifications

  • Bachelor's degree in a quantitative field is required or expected by start date.
  • Master's degree in a quantitative field or MBA with quantitative concentration is preferred.

Responsibilities

  • Strategic leadership to drive growth, mitigate credit losses, and pursue profitability.
  • Develop and implement analytical products for segments within the Commercial loan portfolio; lead modeling and analytics.
  • Drive credit risk improvements by connecting drivers of future trends to historical behavior and testing hypotheses.
  • Oversee delivery of the product strategy, manage multiple projects, and translate business needs into requirements.
  • Collaborate with Product, Tech, Underwriting, Credit, and Sales to improve credit risk management and profitability.
  • Demonstrate strong executive communication and business judgment in a fast-paced environment.

Skills

Analytical skills
Strategic leadership
Credit risk analysis
Communication skills
Project management

Education

Bachelor's degree in quantitative field
Master's degree in quantitative field or MBA

Job description

Capital One is seeking a Business Analysis Manager in McLean, VA, to lead strategic analytics for the Commercial loan portfolio. You will partner with data analysts to build scenario models and tools, engage senior executives, and shape go‑forward strategies balancing risk and return.

Bring at least 3 years of analysis experience, a quantitative degree, and strong communication skills to drive decisions and influence across Product, Tech, Underwriting, Credit, and Sales.

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