Our client is a very successful Global Energy Trading company with access to all key markets worldwide… You will be part of the Credit function which is responsible for all aspects of creditriskmanagement including pre-deal counterparty assessments, counterparty KYC and sanctions checking, contractual … and credit support negotiations, portfolio credit exposure management (including mitigation), default probability assessments, and creditrisk capital assessments. Key Role Responsibilities: As part of the Credit & KYC team, the CreditRisk Manager will be responsible for: Managing autonomously creditrisk … write-ups will be required at times. Reviewing and approving limit and counterparties proposals under delegated authority or escalating appropriately in accordance with internal risk mandate. Leading and coaching more junior Credit Analysts located in the UK. Managing relationship with Front Office (Originators & Traders) ensuring commercial and creditmore »
CreditRisk Manager cards payments This is a new and exclusive opportunity for a CreditRisk Manager to take the lead on the development, implementation and ongoing monitoring of creditrisk strategies for Credit Cards This is a really interesting role with a … lot of opportunity from day one Role details Title- CreditRisk Manager Business area: CreditRisk, cards, payments Location- flexible on location- office locations include London, Bradford, Chatham. We look for 1, 2 or 3 days in the office and otherwise flexible on your working arrangements … Salary £70,000- £85,000 dependant on experience and location You and Your Team: As a CreditRisk Manager you will be responsible for the development, implementation and ongoing monitoring of creditrisk strategies for Credit Cards - covering acquisitions and existing customer management - through more »
CreditRisk Manager cards payments This is a new and exclusive opportunity for a CreditRisk Manager to take the lead on the development, implementation and ongoing monitoring of creditrisk strategies for Credit Cards This is a really interesting role with a … lot of opportunity from day one Role details Title- CreditRisk Manager Business area: CreditRisk, cards, payments Location- flexible on location- office locations include London, Bradford, Chatham. We look for 1, 2 or 3 days in the office and otherwise flexible on your working arrangements … Salary £70,000- £85,000 dependant on experience and location You and Your Team: As a CreditRisk Manager you will be responsible for the development, implementation and ongoing monitoring of creditrisk strategies for Credit Cards - covering acquisitions and existing customer management - through more »
ABOUT THE ROLE This role is to support the business in the management of creditrisk; maximising sales opportunities whilst controlling bad debt losses and ensuring continued compliance with consumer credit regulations. ROLE RESPONSIBILITIES Role Accountabilities Undertake detailed statistical analysis to review and optimise credit decision strategies, processes and models Undertake ad-hoc analysis to inform business decisions and investigate specific risk issues Plan and run small analytical projects ensuring timescales are met and quality is maintained Ensure all analysis is accurate, well presented and delivered within the required timescales. Present outputs of … analysis to creditriskmanagement Code, test and implement approved changes to the credit decisioning systems Produce detailed, accurate credit MI and identify emerging trends, risks and opportunities Define and develop new MI reports to meet business needs Compile and maintain comprehensive documentation of creditmore »
THE COMPANY: Our client is one of the leading banking groups, with millions of corporate clients worldwide. THE RESPONSIBILITIES: Process credit applications, assess creditrisk on individual transactions; make risk recommendations to the Credit Committee; Monitor and process annual and interim credit and rating … reviews by the front office, and produce independent risk assessment; Organise Credit Committee meetings as required and conduct record-keeping; deal with Head Office submissions for credit approvals; Monitor customer credit throughout its term, conduct asset quality review including raising timely early warning signals, monitor credit limit exposures; investigate limit breaches and take remedial actions; Provide support in credit administrative work, including covenant monitoring, limit input and verification in systems, contracts and documentations reviews. Participate in stress testing, scenario analysis, simulations regularly for the portfolio; Produce periodic and ad-hoc risk reports including more »
Develop the risk policies, procedures and tools needed to manage defaults, margin, credit exposure, and liquidity in a company forming an important piece of market infrastructure for the future of the cryptocurrency and digital asset markets. The role is in a rapidly growing company and will involve early … to land key commercial and regulatory goals will be vital. Strong interpersonal skills and being able to work on projects extending beyond just the risk discipline are vital. Role Objectives This is role will involve creating components of the Riskmanagement architecture of a CCP covering. This … is a senior role in a small team and the individual would initially be responsible for: Designing a default management process which, after a member default, would need to include: o Calling and running a default process with hedge execution and portfolio sale o Design of Default waterfall and more »
of remotely managed SMEs onboarded through our client acquisition outreach activity In addition to looking after your own customers, you will also have line management responsibility for a small team of Central Relationship Managers. Principal Accountabilities Successfully remote relationship managing a portfolio of established SME businesses, providing secured lending … finance, as well as current accounts and deposit facilities. The Allica product offering will continue to widen over time as we further grow. Proactive Creditriskmanagement of your portfolio, including using data alerts and insight to identify early warning indicators and support with further advances where … closely with business owners to support their plans and ambitions through originating new lending opportunities from initial enquiry to completion, including assessing and proposing credit papers inline with Allicas credit policies and appetite. Leading and developing a small team of relationship managers, providing coaching and support. This will more »
Job Description VP role within Global Counterparty CreditRiskmanagement will be responsible for supporting the team’s counterparty primary credit coverage of hedge funds, family offices, and asset managers with secondary responsibilities supporting coverage of Banks and Broker Dealers. The role will be instrumental in … assisting with ongoing management and growth of the Equities (PB/OTC Derivatives), Fixed Income (Repo/Reverse Repo) and OTC FX businesses. The position requires close interaction with Equity and Fixed Income businesses, Legal, Collateral Management, and other internal groups. Hedge fund experience is essential for successful … candidate.** Primary Responsibilities: Perform customer due diligence and financial analysis Complete internal credit ratings models and counterparty credit reviews Set and communicate credit exposure appetite across trading products utilizing internal exposure methodologies Assist/oversee legal negotiations for traded products Review and approve trading activity, including recommending more »
InterQuest are proud to be supporting a growing international bank who are looking to enhance their Credit Underwriting team in London. Responsibilities: Oversight of portfolio credit quality, including provisioning and staging of loans as per accounting standards (IFRS 9). Management and supervision of provisioning, staging, and … strategy for the credit portfolio. Leading and approving annual and quarterly reviews for all relevant credit accounts and borrower groups. Creating and presenting management information (MI) related to portfolio credit quality for governance committees. Proactively implementing measures to mitigate emerging risks and ensure a robust credit portfolio. Ensuring compliance with regulatory guidelines and internal credit policies. Essential Skills and Experience: Understanding of Small and Medium-sized Enterprise (SME) and real estate lending credit risks throughout the entire loan process, from origination to recovery. Comprehensive knowledge of accounting standards such as IFRS and their more »
in existing and new markets for E.ON in a variety of energy commodities (electricity, gas, renewables, and cross-commodities) Develop and execute hedging and risk mitigation strategies for positions stemming from origination transactions. Work closely with E.ON's portfolio management and front office departments (central and regional) to … preserve and grow the value of our portfolio under management Analyze markets, identify commercial opportunities, and develop sound origination strategies. Contributes to E.ON's earnings target by delivering on/above budget Strong team player who can liaise and steer internal stakeholders (Risk, Portfolio Strategy, Finance, Contract/… transactions Deep understanding of financial and physical energy markets (futures, forwards, and exchanges). Thorough knowledge of European energy markets. Familiarity with market and creditriskmanagement, balance sheet structures, asset valuations methodologies, accounting principles particularly with respect to structured transactions highly appreciated. Experienced in and familiar more »
in existing and new markets for E.ON in a variety of energy commodities (electricity, gas, renewables, and cross-commodities) Develop and execute hedging and risk mitigation strategies for positions stemming from origination transactions. Work closely with E.ON's portfolio management and front office departments (central and regional) to … preserve and grow the value of our portfolio under management Analyze markets, identify commercial opportunities, and develop sound origination strategies. Contributes to E.ON's earnings target by delivering on/above budget Strong team player who can liaise and steer internal stakeholders (Risk, Portfolio Strategy, Finance, Contract/… transactions Deep understanding of financial and physical energy markets (futures, forwards, and exchanges). Thorough knowledge of European energy markets. Familiarity with market and creditriskmanagement, balance sheet structures, asset valuations methodologies, accounting principles particularly with respect to structured transactions highly appreciated. Experienced in and familiar more »
in existing and new markets for E.ON in a variety of energy commodities (electricity, gas, renewables, and cross-commodities) Develop and execute hedging and risk mitigation strategies for positions stemming from origination transactions. Work closely with E.ON's portfolio management and front office departments (central and regional) to … preserve and grow the value of our portfolio under management Analyze markets, identify commercial opportunities, and develop sound origination strategies. Contributes to E.ON's earnings target by delivering on/above budget Strong team player who can liaise and steer internal stakeholders (Risk, Portfolio Strategy, Finance, Contract/… transactions Deep understanding of financial and physical energy markets (futures, forwards, and exchanges). Thorough knowledge of European energy markets. Familiarity with market and creditriskmanagement, balance sheet structures, asset valuations methodologies, accounting principles particularly with respect to structured transactions highly appreciated. Experienced in and familiar more »
in existing and new markets for E.ON in a variety of energy commodities (electricity, gas, renewables, and cross-commodities) Develop and execute hedging and risk mitigation strategies for positions stemming from origination transactions. Work closely with E.ON's portfolio management and front office departments (central and regional) to … preserve and grow the value of our portfolio under management Analyze markets, identify commercial opportunities, and develop sound origination strategies. Contributes to E.ON's earnings target by delivering on/above budget Strong team player who can liaise and steer internal stakeholders (Risk, Portfolio Strategy, Finance, Contract/… transactions Deep understanding of financial and physical energy markets (futures, forwards, and exchanges). Thorough knowledge of European energy markets. Familiarity with market and creditriskmanagement, balance sheet structures, asset valuations methodologies, accounting principles particularly with respect to structured transactions highly appreciated. Experienced in and familiar more »
in existing and new markets for E.ON in a variety of energy commodities (electricity, gas, renewables, and cross-commodities) Develop and execute hedging and risk mitigation strategies for positions stemming from origination transactions. Work closely with E.ON's portfolio management and front office departments (central and regional) to … preserve and grow the value of our portfolio under management Analyze markets, identify commercial opportunities, and develop sound origination strategies. Contributes to E.ON's earnings target by delivering on/above budget Strong team player who can liaise and steer internal stakeholders (Risk, Portfolio Strategy, Finance, Contract/… transactions Deep understanding of financial and physical energy markets (futures, forwards, and exchanges). Thorough knowledge of European energy markets. Familiarity with market and creditriskmanagement, balance sheet structures, asset valuations methodologies, accounting principles particularly with respect to structured transactions highly appreciated. Experienced in and familiar more »
in existing and new markets for E.ON in a variety of energy commodities (electricity, gas, renewables, and cross-commodities) Develop and execute hedging and risk mitigation strategies for positions stemming from origination transactions. Work closely with E.ON's portfolio management and front office departments (central and regional) to … preserve and grow the value of our portfolio under management Analyze markets, identify commercial opportunities, and develop sound origination strategies. Contributes to E.ON's earnings target by delivering on/above budget Strong team player who can liaise and steer internal stakeholders (Risk, Portfolio Strategy, Finance, Contract/… transactions Deep understanding of financial and physical energy markets (futures, forwards, and exchanges). Thorough knowledge of European energy markets. Familiarity with market and creditriskmanagement, balance sheet structures, asset valuations methodologies, accounting principles particularly with respect to structured transactions highly appreciated. Experienced in and familiar more »
in existing and new markets for E.ON in a variety of energy commodities (electricity, gas, renewables, and cross-commodities) Develop and execute hedging and risk mitigation strategies for positions stemming from origination transactions. Work closely with E.ON's portfolio management and front office departments (central and regional) to … preserve and grow the value of our portfolio under management Analyze markets, identify commercial opportunities, and develop sound origination strategies. Contributes to E.ON's earnings target by delivering on/above budget Strong team player who can liaise and steer internal stakeholders (Risk, Portfolio Strategy, Finance, Contract/… transactions Deep understanding of financial and physical energy markets (futures, forwards, and exchanges). Thorough knowledge of European energy markets. Familiarity with market and creditriskmanagement, balance sheet structures, asset valuations methodologies, accounting principles particularly with respect to structured transactions highly appreciated. Experienced in and familiar more »
in existing and new markets for E.ON in a variety of energy commodities (electricity, gas, renewables, and cross-commodities) Develop and execute hedging and risk mitigation strategies for positions stemming from origination transactions. Work closely with E.ON's portfolio management and front office departments (central and regional) to … preserve and grow the value of our portfolio under management Analyze markets, identify commercial opportunities, and develop sound origination strategies. Contributes to E.ON's earnings target by delivering on/above budget Strong team player who can liaise and steer internal stakeholders (Risk, Portfolio Strategy, Finance, Contract/… transactions Deep understanding of financial and physical energy markets (futures, forwards, and exchanges). Thorough knowledge of European energy markets. Familiarity with market and creditriskmanagement, balance sheet structures, asset valuations methodologies, accounting principles particularly with respect to structured transactions highly appreciated. Experienced in and familiar more »
in existing and new markets for E.ON in a variety of energy commodities (electricity, gas, renewables, and cross-commodities) Develop and execute hedging and risk mitigation strategies for positions stemming from origination transactions. Work closely with E.ON's portfolio management and front office departments (central and regional) to … preserve and grow the value of our portfolio under management Analyze markets, identify commercial opportunities, and develop sound origination strategies. Contributes to E.ON's earnings target by delivering on/above budget Strong team player who can liaise and steer internal stakeholders (Risk, Portfolio Strategy, Finance, Contract/… transactions Deep understanding of financial and physical energy markets (futures, forwards, and exchanges). Thorough knowledge of European energy markets. Familiarity with market and creditriskmanagement, balance sheet structures, asset valuations methodologies, accounting principles particularly with respect to structured transactions highly appreciated. Experienced in and familiar more »