Senior Business Analyst, Liquidity, Market, and Capital Risk Oversight

Capital One Financial

Quick summary

Work type
On-site
Location
McLean, VA
Salary
$111,200–$126,900 / yr
Posted
8 days ago

Market check

Salary context

Below market

How this pay compares to similar roles

Similar $165k
This role $119k
$101k most similar roles pay here $210k

This role pays less than 80% of similar roles. Most pay $129,350–$199,700 — the shaded band above. At the midpoint, this role pays about $119k versus about $165k for comparable roles.

Based on 240 similar postings.

Employer

About Capital One Financial

Capital One Financial is a bank holding company specializing in credit cards, auto loans, banking, and savings products, known for its data-driven approach to consumer and commercial finance. Industry: Financial Services & Banking

Capital One Financial currently has 798 open roles on FindRole.

Listed pay typically runs $197,300–$225,100 across 791 roles with salary data.

Most-posted roles

View all roles at Capital One Financial

At a glance

TL;DR · Senior Business Analyst, Liquidity, Market, and Capital Risk Oversight

As a Senior Business Analyst in Liquidity Market Capital Risk Oversight (LMCRO) at Capital One, you will leverage your strategic and analytical skills to review and challenge credit loss forecasts for various business lines, informing quarterly allowance and annual stress testing estimates. Your day-to-day responsibilities include identifying assumptions and weaknesses in estimation frameworks, supporting improvements through rigorous analysis of consumer credit trends, and developing sustainable processes to document challenges and resolutions. You will collaborate closely with teams across Credit Risk Management, Finance, and other departments to ensure effective oversight of loss forecasts. The role requires strong quantitative skills, including experience with statistical model building and SQL querying, as well as expertise in business analysis and consulting. Ideal candidates possess a Master’s Degree in a quantitative field and thrive in fast-paced, dynamic environments where clear communication and strategic influencing are key.

What you'll do

  • Analyze credit loss estimation frameworks to identify assumptions and weaknesses.
  • Support improvements in credit risk models by connecting future trends with historical data.
  • Develop sustainable processes for identifying, communicating, and documenting challenges.
  • Test hypotheses using rigorous monitoring and analysis techniques.
  • Work closely with finance and other teams to drive effective oversight of forecasts.
  • Prioritize competing priorities while maintaining a diligent yet empathetic approach.

What we're looking for

  • At least 2 years of professional experience in analysis
  • Bachelor's or Master's Degree in a quantitative field such as Business, Finance, Statistics, Economics, or Engineering
  • Strong analytical and conceptual thinking skills for credit risk management
  • Excellent written and oral communication skills with strategic influencing abilities
  • Experience in developing and enhancing sustainable processes for identifying and resolving challenges
  • Proven track record of thriving in fast-paced, dynamic environments

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