Permanent Credit Risk Jobs in England

26 to 50 of 93 Permanent Credit Risk Jobs in England

Credit Risk Model Manager

Leeds, England, United Kingdom
Harnham
CREDIT RISK MODEL MANAGER £55,000 NORTH ENGLAND This role is an exciting opportunity to join a well-known consultancy in a time of growth. This position offers the chance to work on a broad range of projects and use Python as this is rolled out across the … business. THE COMPANY This client is an established consultancy who specialise in analytics, with this role focusing specifically on credit risk model monitoring and audit. You could work with a range of businesses across the UK including banks and FinTechs. This is a really exciting time for the … vary significantly based on projects, however you can expect to: Analyse and monitor a range of models including IFRS9, IRB, Stress Testing and wider credit risk models Work on model validations, audits, oversight and wider implementation Use Python for client work as the business roll this out across more »
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Quant Risk Developer | Outside IR 35 | London

London, United Kingdom
SoCode Limited
Quant Risk Developer | Outside IR 35 | London Position Overview: We are seeking an experienced Quantitative Risk Developer with a strong background in Data Engineering, AWS and risk analytics. The ideal candidate will have expertise in developing and implementing quantitative models and algorithms to assess and mitigate investment … risks across various asset classes. The successful candidate will collaborate closely with our risk management team and technology specialists to enhance our risk measurement capabilities and support informed decision-making processes. Responsibilities: Develop and maintain quantitative models and algorithms for measuring market risk, credit risk, liquidity risk, and other relevant risk factors. Implement risk analytics tools and frameworks to assess portfolio risk exposures, stress testing, and scenario analysis. Collaborate with portfolio managers, traders, and risk managers to understand risk requirements and translate them into quantitative solutions. Conduct research more »
Employment Type: Permanent
Salary: £500 - £900/day
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Realtime Risk Java Developer

South East London, England, United Kingdom
CRISIL Limited
P Global Inc, a leading provider of transparent and independent ratings, benchmarks, analytics and data to the capital and commodity markets worldwide.About Global Research & Risk Solutions:CRISIL Global Research and Risk Solutions (GR&RS), is a leading strategy implementation partner that works across the globe with many of … the world's biggest financial institutions in helping them grow revenues, minimize risk, enhance productivity, make better decisions and enhance returns.Globally, we provide Financial Risk (Model Risk, Traded Risk, Credit Risk) and Non-Financial Risk Services in addition to bespoke Research Services.Over the … and technology helps us co-create winning experiences with our clientsJob DutiesYou will be a strong core JAVA developer joining a bank’s Realtime Risk team. You will be working within an agile team, writing requirements and specifications, developing strategic trading tools and maintaining existing code for the Risk more »
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Realtime Risk Java Developer

London Area, United Kingdom
CRISIL Limited
Global Inc, a leading provider of transparent and independent ratings, benchmarks, analytics and data to the capital and commodity markets worldwide. About Global Research & Risk Solutions: CRISIL Global Research and Risk Solutions (GR&RS), is a leading strategy implementation partner that works across the globe with many of … the world's biggest financial institutions in helping them grow revenues, minimize risk, enhance productivity, make better decisions and enhance returns. Globally, we provide Financial Risk (Model Risk, Traded Risk, Credit Risk) and Non-Financial Risk Services in addition to bespoke Research Services. … helps us co-create winning experiences with our clients Job Duties You will be a strong core JAVA developer joining a bank’s Realtime Risk team. You will be working within an agile team, writing requirements and specifications, developing strategic trading tools and maintaining existing code for the Risk more »
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Counterparty Risk Manager - AVP

Greater London, England, United Kingdom
Morgan McKinley
Global investment bank seeks an AVP level Counterparty Risk Manager as part of its expanding Management Information Counterparty Credit Risk division Management Information Counterparty Credit Risk (MI CCR) team is responsible to provide an independent view and analysis of key counterparty risks. The team sits … within RISK - MFI Platform (Markets and Financial Institutions) - MI (Management Information). The team is based in London and maintains a global scope. It interacts closely with other MI teams in London, Paris, Brussels and New York , as well as several RISK MFI teams under Analysis & Decision and … Platform stream. Job Purpose Purpose: working on the analysis and reporting of counterparty credit risk (CCR) in line with the team's mission statement. Scope: Global responsibility in line with MI CCR's team mandate (i.e. across all activities and regions). This role may be carried out more »
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VP - Quantitative Analyst

London Area, United Kingdom
Danos Group
Our client, a leading Global Banking Group is looking for a VP Quantitative Analyst to join them as Model validator in the their Model Risk Management team in London. The role holder will be responsible for the validation of non-traded market risk models such as Economic capital … IRRBB, ALM, Stress testing, Counterparty Credit Risk Models, Climate Risk Models. This is an exciting opportunity to join a major global Bank, within a growing team and with quick progression opportunities. Requirements: An advanced degree in econometrics, economics, quantitative finance or another quantitative discipline Experience in IRRBB … ALM, Stress testing, Credit risk or Counterparty Credit Risk Experience in coding (R, Python, MatLab, etc) In-depth knowledge of Model Risk management processes Due to the high levels of applications received, only successful candidates shall be contacted. If you are suitable for any other more »
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Head of Credit

London Area, United Kingdom
Harnham
Head of Credit London Up to £110,000 Hybrid The Company This is an amazing opportunity to work for a lending company based in the heart of London. They are looking to bring in a Head of Credit to drive the business forward as they look to grow … their portfolio. This role includes senior stakeholder management with investors and C-suit internally and externally. The Role As a Head of Credit , you will be: Portfolio analytics and reporting across the card’s portfolio using SQL and/or Python. Reporting on portfolio performance to internal and external … level stakeholders using Data and performance indicators to influence. Working cross-functionally across the business to maintain growth across portfolio. Working closely with the credit strategy function to understand key changes that are required to grow the portfolio Using analytics daily within the role like SQL and Python Your more »
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Second Line Oversight Manager (Credit Underwriting)

Rickmansworth, England, United Kingdom
Mobilize Financial Services
As part of our continued growth we are hiring a new role to the business, Credit Underwriting Second Line Oversight Manager . You will own, support, manage and develop key relationships internally including; managing the oversight of all Credit Risk positions, underwriting issues, and oversight responsibility in … accordance with the risk appetite statement. Build collaborative relationship with 1st line of Defence Credit/Underwriting team. Maintain and update the Banks risk policies and the departments risk procedures, provide in-depth analysis, market trends and horizon outlook, while keeping stakeholders informed on all critical … Build quantitative models for effective challenge of 1st line of defence outputs, stay abreast of model changes, model development, implementation and validation across the Credit portfolio. What you will do: Provide second line of defence review of MFS underwriting credit portfolio, in line with the banks credit more »
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Regulatory Policy Manager - 9 months + - Contract - £960 a day inside - Hybrid

London Area, United Kingdom
Hybrid / WFH Options
Scot Lewis Associates
Regulatory Policy Manager - 9 months + - Contract - £960 a day inside - Hybrid Regulatory Policy manager, Credit risk, Compliance, Basel, PRA Working with a leading global banking client to secure the services of a Regulatory Policy Manager for London. The role holder will lead on regulatory interpretation of regulatory … requirements for credit risk, including the internal ratings based approach (IRB). As well as lead the review and response to proposed rulemaking by regulators designed to address the changing environment that banks operate within, such as regulatory developments for: Basel 3.1; Climate risk; and Artificial intelligence …/machine learning (AI/ML). In this role, you will: Review and opine on existing and proposed regulatory policy on wholesale credit risk. Lead the process to develop regulatory interpretations and policy opinions, including clear communication of the latest external regulatory developments to customers/stakeholders. Undertake more »
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Business Analyst - Market Data Analytics

South East London, England, United Kingdom
CRISIL Limited
P Global Inc, a leading provider of transparent and independent ratings, benchmarks, analytics and data to the capital and commodity markets worldwide.About Global Research & Risk Solutions:CRISIL Global Research and Risk Solutions (GR&RS), is a leading strategy implementation partner that works across the globe with many of … the world's biggest financial institutions in helping them grow revenues, minimize risk, enhance productivity, make better decisions and enhance returns.Globally, we provide Financial Risk (Model Risk, Traded Risk, Credit Risk) and Non-Financial Risk Services in addition to bespoke Research Services.Over the … timely delivery of the project.Delivering solutions to standardize the market data & make the transformed versions of market data redundant thus helping in the operational risk mitigationDelivering a solution and technology to automation data quality check, remediation, and delivering to data consumers, starting from prototype testing and proof of concept.Developing more »
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Business Analyst - Market Data Analytics

London Area, United Kingdom
CRISIL Limited
Global Inc, a leading provider of transparent and independent ratings, benchmarks, analytics and data to the capital and commodity markets worldwide. About Global Research & Risk Solutions: CRISIL Global Research and Risk Solutions (GR&RS), is a leading strategy implementation partner that works across the globe with many of … the world's biggest financial institutions in helping them grow revenues, minimize risk, enhance productivity, make better decisions and enhance returns. Globally, we provide Financial Risk (Model Risk, Traded Risk, Credit Risk) and Non-Financial Risk Services in addition to bespoke Research Services. … delivery of the project. Delivering solutions to standardize the market data & make the transformed versions of market data redundant thus helping in the operational risk mitigation Delivering a solution and technology to automation data quality check, remediation, and delivering to data consumers, starting from prototype testing and proof of more »
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Commercial Analysis Intern & Technical Services Intern

Hatfield, England, United Kingdom
Falko
These roles will be based in Dublin or Hatfield (UK) and will be an integral part of the team of analysts that cover pricing, credit risk and technical analysis for all transactions within Falko. The internship will cover a period of six months, commencing in June 2024 and … Internship is a key part of Falko’s recruitment process, for future full-time positions. Key objectives and responsibilities of the Intern will include: Credit Risk Initial credit risk assessment of potential new lessees, acquired through SLB or portfolio purchase Technical Finance Development & upkeep of financial more »
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Senior Business Analyst - Global Risk Analytics

London Area, United Kingdom
HSBC
Senior Business Analyst – Global Risk Analytics 6-month contract London/Hybrid Up to £796.28 p/d Umbrella If you’re looking for a career that will help you stand out, join HSBC, and fulfil your potential. Whether you want a career that could take you to the … Data Quality for downstream processes and the delivery/implementation of process and policy improvements. Particular expertise required: Familiarity with regulatory requirements related to Credit Risk and Rating Systems and ideally Parental Support Rating Systems Experience of delivering change within a Data Programme and dealing with large volumes … Good presentation and interpersonal skills Ability to hold requirements workshops, Working Groups, training sessions as required Ability to develop and execute test plans Global Risk Analytics (GRA) is a part of HSBC’s Global Risk Function which provides solutions using analytics, tools, and models to identify, measure and more »
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Operations Risk Analyst (Gibraltar relocation)

London Area, United Kingdom
Hybrid / WFH Options
X4 Technology
RELOCATING TO GIBRALTAR AND INITIALLY 12 MONHT FTC A leading commodity trading house with a global presence are searching for an Operational Risk Analyst to join their Operational Risk department in Gibraltar. As part of the Operational Risk department, you'll have the opportunity to contribute to … the development and execution of the risk strategy, ensuring the integrity and resilience of their operations. Position Overview: As an Operational Risk Analyst, you will play a pivotal role in safeguarding the business operations and reputation by identifying, assessing, and mitigating operational risks across the organization. You will … collaborate closely with key stakeholders to develop and implement robust risk management frameworks, policies, and procedures that align with industry best practices and regulatory requirements. Key Responsibilities: Supporting the implementation of Operational Risk framework across core and emerging commercial and operational activities Conduct risk assessments to identify more »
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Lead Credit Risk Model Analyst

England, United Kingdom
Hybrid / WFH Options
Harnham
LEAD CREDIT RISK MODEL ANALYST £74,000 EDINBURGH/WEST MIDLANDS (other UK locations available) This is a broad role ideal for someone looking to take a step into the modelling space. This bank are well known for being data-driven and big on employee development, with this … of their retail portfolio. THE COMPANY This client is a leading bank in the UK who are seeking a motivated candidate to join their Credit Risk Model team. This role offers a great opportunity for someone with exposure to regulatory models to broaden their experience and gain exposure more »
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Market & Liquidity Risk Manager

London Area, United Kingdom
The Curve Group
About the job Market & Liquidity Risk Manager London Hybrid Founded in 2007 our client is one of the fastest growing banks of their kind in the UK. They offer personal and corporate savings products and finance for UK residential and commercial property, in addition to sourcing and advising on … UK real estate investments. Due to growth within the business, they are now looking to acquire the services of a Market & Liquidity Risk Manager to their expanding team. The Market & Liquidity Risk Manager will lead and manage the market risk function by developing appropriate market risk monitoring parameters, daily monitoring of such parameters and escalation of risks and provide risk mitigation solutions to the Assets and Liability Committee. This is primarily a 2nd LoD role. This is a broad and varied role, working across Treasury and markets. Identification and analysing, reporting of market and more »
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Senior Credit Risk Analyst - Loss Forecasting

London, England, United Kingdom
Hybrid / WFH Options
Harnham
SENIOR CREDIT RISK ANALYST - LOSS MODELLING £65,000 LONDON This role offers a great chance to contribute to an innovative FinTech that are continuing to grow. You'll get to work across a range of projects in this role, focusing on loss modelling but also covering strategy and … They have grown very well since being established and are now in a secure and successful position where they are looking to expand the credit team. This is an exciting opportunity for someone to take a hands-on role where you can really make an impact on the future … EXPERIENCE Previous experience in IFRS9 or broader loss modelling is essential Strong experience using SQL is essential Experience using Python highly desirable Background in credit risk/consumer lending is essential Educated to at least degree level in an analytical degree SALARY AND BENEFITS Up to more »
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Lead IFRS9 Analyst

London Area, United Kingdom
Hybrid / WFH Options
Harnham
LEAD IFRS9 ANALYST – CREDIT RISK UP TO £70,000 + PENSION + BONUS LONDON An exciting Fintech company is looking to add a hardworking, driven Credit Risk Analyst to their portfolio team. The role will involve working closely with different teams across the business whilst also … UK and have a hybrid working from home and office system providing great flexibility for its workers. THE ROLE The role is a senior credit risk analyst position which own the loss models for the business and get very hands on with analytics. You can expect to be more »
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ISDA Negotiator / Commodities Negotiator - Commodities, ISDA, OTC, Legal, Credit Risk, Documentation, Master Agreements, Contracts

Greater London, England, United Kingdom
Strategic Staffing Solutions
be an experienced Negotiator with previous skills in some of the following: Commodities, ISDA, CSA, Documentation, Legal Documents, Master Agreements, Contract Negotiation, Trading, Legal, Credit Risk, Treasury and/or Operations with previous Legal/Law firm or Paralegal/Attorney exposure. Commodities exposure is essential for this … Bachelor's degree equivalent with a minimum of two years of experience in an Operations or Legal/Trading Documentation role (including within a Credit, Risk or Treasury function) or attorney/paralegal experience within a law firm or JD Please send me your CV for an immediate more »
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Risk, Model Risk Management, Vice President, London

London, England, United Kingdom
Goldman Sachs
RISK Our Risk teams develop comprehensive processes to monitor, assess, and manage the risk of expected and unexpected events that may have an adverse impact on the firm. Risk professionals execute critical day-to-day risk management activities, lead projects, and contribute to the ongoing … advancement of a robust risk management program. Effective coordination with executive management, business units, control departments and technology is critical for success. MODEL RISK MANAGEMENT (MRM) The Model Risk Management (MRM) group is a multidisciplinary group of quantitative experts at Goldman Sachs with presence in New York … Dallas, London, Warsaw, Hong Kong, and Bangalore. The MRM group is responsible for independent oversight of Model Risk at the firm, ensuring compliance with Firmwide Policy on Model Control and related standards, including documentation to evidence effective challenge over the Model development, implementation, and usage of Models. The group more »
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Wholesale Business Analyst

London Area, United Kingdom
Hybrid / WFH Options
HSBC
responses and, where relevant, submissions to regulators. Preparation of policy interpretations and opinions. Preparation of regulatory submissions to the regulator. Global and regional Market Risk Functions, Traded Risk Senior management team, GRA Regional Heads and regional Policy leads. Finance – Group Regulatory Policy and Regulatory Reporting teams. Regulatory bodies … in particular the Prudential Regulatory Authority supervisory and modelling teams. Work together with business experts from the Traded Risk teams and stakeholders to develop appropriate regulatory opinions and policy solutions. Provide leadership to regions on providing regulatory guidance and policy opinions, including clear communication of the latest external regulatory … developments to stakeholders from Front Office, MSS, etc. The role holder will be expected to work with regional policy leads and Group Traded Risk teams to develop and communicate solutions to address rule changes or answers to specific policy questions and/or regulatory requirements. Develop consistent policy standards more »
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Governance and Risk Assistant Manager

London
BCT Resourcing
Assistant Manager, Governance and Risk London Company client is supporting a leading consultancy business in the growth of their financial services governance and risk team. This team aids financial services firms across banking, insurance and asset & wealth managers with their governance and risk management frameworks. You will … get exposure to a variety of topics in the governance and risk landscape across financial services. Required skills: * Experience working in a consulting firm or regulator (FCA or PRA). * In depth knowledge of governance & risk. * a specialty in any of the following: corporate governance, operational resilience, conduct risk, credit risk or risk management frameworks. This role will put you in front of decision makers across a multitude of FS businesses and will give you the tools to build your expertise in a wide variety of risk and governance topics. This is an excellent more »
Employment Type: Permanent
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Credit Analyst /Portfolio Analyst

City of London, London, United Kingdom
cer Financial Ltd
Credit Analyst/Portfolio Analyst Infrastructure/Project Finance City of London Permanent £65,000 cer Financial are working alongside an exciting Financial Services company who are based in the City of London. They are seeking aCredit Analyst/Portfolio Analyst Infrastructure/Project Financeto work with them on … well as client of any material developments on a portfolio of (mostly) performing loans. Regular (at least annual) analysis of key risks including financial risk, operational risk, off- taker/supplier/guarantor risk, country/regulatory risk and market risk. Preparation of robust and concise … internal credit papers Review/update of cash flow models. Prepare internal ratings. Preparation of client off colour and watch-list reports discussing trends, remedies, progress, future loan amendments and provide advice regarding possible exit strategies. Analyse, evaluate and comment on drawdown requests and transaction related financial, technical and more »
Employment Type: Permanent
Salary: £65,000
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Portfolio Monitoring Executive - Private Credit

London Area, United Kingdom
Carnegie Consulting
The Opportunity: Working for one of Europe’s leading Private Credit Funds, this is a fantastic career opportunity for an exceptional candidat eA broad role that offers a huge amount of internal and external interaction with key stakeholders. As you’d expect, you will need to possess brilliant communication … skills, both verbal and writte nThe Portfolio Management team is newly created and provides support to the growing Private Credit platform as it continues to scale. This function is deeply embedded within the wider Investment team and supports the investments post-origination throughout their entire investment cycle, by the … provision of routing monitoring and oversigh tThe approach is very much risk based, with credit analysis at the heart of the rol e Key outputs includ e: Active portfolio monitoring and the management of corporate actions that may include covenant waivers, liquidity issues et c..The enhanced monitoring of more »
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Credit Risk
England
10th Percentile
£40,800
25th Percentile
£43,250
Median
£51,528
75th Percentile
£96,375
90th Percentile
£130,000