01/20/2026

Finance & Credit Manager

Job Description

With a company culture rooted in collaboration, expertise and innovation, we aim to promote progress and inspire our clients, employees, investors and communities to achieve their greatest potential. Our work is the catalyst that helps others achieve their goals. In short, We Enable Possibility℠.

The Finance & Credit Manager is responsible for managing day-to-day financial and credit risk for large casualty accounts, ensuring accurate evaluations, collateral structuring, and compliance with established risk management policies. This role serves as a key link between strategic oversight and analytical execution, providing guidance to analysts and supporting the Finance & Credit Director in implementing credit risk strategies.

This role will sit in the Alpharetta, GA office, with a hybrid schedule of three days in the office and two days remote.

Responsibilities:

  • Manage the financial and credit risk assessments for existing and prospective clients and ensure timely and accurate analysis.
  • Review clients’ financial condition and creditworthiness, utilizing and maintaining internal and external tools such as Moody’s Credit Lens, S&P Capital IQ
  • Determine collateral requirements and monitor ongoing exposure.
  • Maintain credit watch lists and monitor triggers for high-risk accounts; escalate concerns as needed.
  • Collaborate with underwriting teams to align credit risk decisions with business objectives.
  • Participate in client meetings with senior financial management to discuss credit and collateral requirements.
  • Liaise with Treasury, Corporate Accounting, and Finance on collateral, billing, and accounting matters.
  • Develop and maintain comprehensive training program for new team members
  • Conduct industry and market research to support credit risk strategies and benchmark analysis.
  • Prepare management reports on credit exposure, collateral adequacy, and financial performance.
  • Support development and refinement of analytical tools and benchmarks

Key Competencies: 

  • Strong analytical and problem-solving skills.
  • Ability to manage multiple priorities and deadlines effectively.
  • Leadership skills with ability to guide and mentor analysts.
  • Excellent communication and interpersonal skills.
  • Knowledge of collateral structures and securitization practices.
  • High attention to detail and accuracy.

Qualifications:

  • Bachelor’s degree in Finance, Accounting, or related field (Master’s preferred).
  • 5+ years of experience in financial and credit risk management.
  • Prior experience in Insurance/Risk Management preferred.
  • Strong expertise in financial statement analysis and credit risk assessment.
  • Familiarity with tools such as Moody’s Credit Lens, S&P Capital IQ, Bloomberg.

#LI-AT1

#LI-hybrid

Arch is committed to helping employees succeed through our comprehensive benefits package that includes multiple medical plans plus dental, vision and prescription drug coverage; a competitive 401k with generous matching; PTO beginning at 20 days per year; up to 12 paid company holidays per year plus 2 paid days of Volunteer Time Offer; basic Life and AD&D Insurance as well as Short and Long-Term Disability; Paid Parental Leave of up to 10 weeks; Student Loan Assistance and Tuition Reimbursement, Backup Child and Elder Care; and more. Click here to learn more on available benefits.

Do you like solving complex business problems, working with talented colleagues and have an innovative mindset? Arch may be a great fit for you. If this job isn’t the right fit but you’re interested in working for Arch, create a job alert! Simply create an account and opt in to receive emails when we have job openings that meet your criteria. Join our talent community to share your preferences directly with Arch’s Talent Acquisition team.

14400 Arch Insurance Group Inc.

Apply Now