
The USC Marshall Financial Services Career Hub is coordinating a resume book drop for a full-time Quantitative Risk Analyst opportunity with Beach Point Capital Management (Santa Monica, CA).
This role is open to December 2025 and May 2026 graduates with strong quantitative and analytical backgrounds.
About the Role
The Risk Analyst will join the portfolio risk management team and be responsible for producing portfolio risk reports, conducting in-depth risk analysis, and developing quantitative models. The role offers significant exposure to fixed income portfolios, including credit and structured products, and involves working closely with portfolio managers and investment teams. See job description here for more details.
How to Apply
There is no online application, so interested candidates must submit their resume through this form:
https://usc.qualtrics.com/jfe/form/SV_0V4hNj8k7qFbb70
USC Marshall Financial Services is currently finalizing the exact submission deadline with the employer. However, given the expedited timeline, we strongly encourage you to apply as soon as possible to be considered. We will follow up with additional details once the exact deadline is confirmed.
Published on March 27th, 2026Last updated on March 27th, 2026
