Credit Risk Jobs in England

26 to 50 of 110 Credit Risk Jobs in England

Managing Risk Consultant

London, United Kingdom
Quant Capital
Managing Risk ConsultantManaging Risk ConsultantQuant Capital is urgently looking for a Risk Consultant to join our high profile client.Our client assists financial services institutions worldwide in measuring and controlling risk through professional services and enterprise risk management framework. They address the complex issues surrounding risk … the collapse of institutions such as Lehman Brothers.This is a new senior management hire. We are looking for senior consultants with a background in Risk Management, Model and Stress testing and Regulation. This role will involve man management and product development.The Managing risk Consultant will:·Run projects and … Lead a team and ensure effective project workManaging Consultants must have:·PhD or Masters Degree in Maths Economics, Comp Sci, Finance·Experience in Quantitative Risk Management (either Banking Book or Trading Book)·Experience of man management·Experience in a bank, consultancy or risk software vendor·Understanding of financial more »
Salary: £ 70 K
Posted:

Asset Manager

London Area, United Kingdom
harley recruitment
client's dynamic Surveillance Department in the heart of London as an Asset Manager and become a key player in shaping the future of credit risk management! Why Join Us? Dynamic Environment: Work in a fast-paced, collaborative environment where your expertise will make a real impact. Career … Growth: Take advantage of opportunities for career advancement and professional development. Cutting-Edge Work: Be at the forefront of credit risk management, working on high-profile projects in infrastructure and energy finance. Competitive Benefits: Enjoy a competitive salary, bonus potential, and a range of benefits designed to support … your well-being and success. Main Purpose of Role: As an Asset Manager, you'll play a vital role in providing credit risk-related services, offering timely insights and recommendations to ensure informed decision-making. Collaborate closely with cross-functional teams and clients to deliver exceptional results. What more »
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Market Risk, Team Lead

Greater London, England, United Kingdom
Richard James Recruitment Specialists Ltd
Our client is a very successful international Energy Trading company with access to key markets worldwide… The Senior Manager, Market Risk will lead the Market Risk team, supporting the business in all key market risk management matters affecting the organisation. The Market Risk team is responsible … for the design and implementation of market risk control frameworks, where you will be covering both quantitative and qualitative market risk analysis as well as risk control solutions. This is a key role for risk and control for our client: in addition to the Market Risk-specific coverage, the Senior Market Risk Manager will also be expected to be involved in all key risk management matters affecting the organisation. You will partner with the other Risk and Control teams within the Middle Office function, as well as the Back Office function, to 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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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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Senior Credit Risk Manager

Greater London, England, United Kingdom
Hybrid / WFH Options
Quant Capital
Data Scientist/Credit Risk Manager - Fintech Up to £130,000 Plus 10% Bonus Remote Working 2 days per month in the office Quant Capital is urgently looking for a Data Scientist/Credit Risk Manager to join our high profile client. My Client is a … and experienced individual to lead their growing data science function. This role offers the chance to work end-to-end across a range of credit models in the business and take on a challenging role which will give you excellent exposure and experience in the credit modelling space. … Day to Day the Lead Data Scientist will: Build out a new set of credit models Work across the current range of credit models within the business Develop challenger models to improve and enhance the modelling suite Monitor and report on these models, taking oversight across the modelling more »
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Credit Analyst - Corporate /CRE

City of London, London, United Kingdom
Barbara Houghton Associates
It is essential to have previous banking experience. Our client is seeking a Credit Analyst to join their team on a permanent basis. Supporting the business to minimise the Banks credit-related losses by identifying and reasonably measuring the credit risk and mitigants in proposals, reviews … etc. Its essential to have previous Corporate Banking experience. Main Responsibilities & Accountabilities: Provide credit evaluation report for various credit products which provides overview of transactions, financial and non-financial risk analysis, key risks identified. Make sure the credit transactions are compliant with credit policies. This … position mainly focuses on Large Corporate business/Commercial Real Estate and may also cover some other sectors credit business based on the types of proposal from front office. Provide effective challenges as well as guidance to the proposals from Front Office; Draft and present credit opinions to more »
Employment Type: Permanent
Posted:

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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UK Commercial Lending Management Head- Director

London, United Kingdom
Citigroup
The UK Commercial Lending Management (CLM) Head is a key position in the UK Commercial Bank, leading a team of 22 credit underwriters and having responsibility for sponsoring, structuring, recommending and approving credit facilities to existing and new clients.The UK Commercial Bank is a high growth business, which … identified and onboarded and the skill set of the team enhanced. Responsibilities• Coordinate activities of CLM Industry Team Leads and Underwriters to ensure efficient credit process and fast turnaround times.• Support CLM Industry Team Leads and Credit Underwriters in credit risk assessment and transaction structuring• Establish … priorities for Credit Underwriters and Approvers in terms of processing Annual Reviews, CCM’s and new transactions.• Provide guidance to the team and become a point of reference for the interpretation, application and compliance with Credit Policies, Standards and Procedures.• Take a leading role in green light and more »
Salary: £ 70 K
Posted:

Trading Assistant - Metals

London Area, United Kingdom
Richard James Recruitment Specialists Ltd
TO: Supporting the trading of Non-Ferrous metals (mainly aluminium and copper) in accordance with the operations policy, and within approved trading limits. Support risk management processes (market, credit, legal, tax, etc.) appropriately and always seek to minimize the risk. Support non-ferrous metal trading with suppliers, customers … and other parties, to include, market risk, credit control, contract terms and conditions, laws and regulations, duties and taxes including VAT. Support the daily close of the position and position monitoring. Support hedging of daily position including FX exposures and averaging and sending of pricing confirmations of same … the trading system. Provide details, data and information of trading required by others. Initiate new counterpart KYC procedure liaising with the Legal Department and Risk Management team. Complete credit line applications and consignment credit line applications, liaising with traders and Risk team. Liaise with the risk more »
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Senior Scorecard and Strategy Consultant

London, England, United Kingdom
Harnham
who are well known in the financial services space. THE COMPANY This large consultancy business are looking for a strong candidate to join their credit risk team to work with a range of clients within the Financial Services space and more. This role offers the chance to work … clients on projects including: Re-develop and enhance statistical models, specifically scorecards, to drive insight into the customer journey and enhance business performance Design credit risk strategies and provide support on wider lending and fraud strategies including optimization and analysis Provide wider ad hoc analysis and insight into … customer trends and monitor the ongoing performance of credit strategies and portfolios Working with external stakeholders and collaborating with businesses to communicate improvements and really make an impact YOUR SKILLS AND EXPERIENCE Previous experience in developing scorecards and statistical models is highly desirable Exposure to scorecard models is an more »
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Senior Credit Risk Strategy Manager - Credit Cards

England, United Kingdom
Hybrid / WFH Options
Harnham
SENIOR CREDIT STRATEGY MANAGER - CREDIT CARDS £100,000 REMOTE/WEST-MIDLANDS Very exciting role here with a leader in the UK lending space. This role would enable you to both lead the strategy and profitability direction for their cards book, as well as leading a small team. … THE COMPANY This ambitious and innovative financial services business are seeking an experienced candidate to lead credit management across their unsecured portfolios, focusing on Credit Cards. This role offers an excellent opportunity to drive insight in a hands-on analytical role, whilst managing a small team to success. … THE ROLE Developing end-to-end lending strategies for their Unsecured portfolio, with a focus on Credit Cards Broader portfolio analysis and driving insight into customer trends and behaviours Close work with internal and external stakeholders to drive business performance Co-ordination with wider teams to deploy strategies and more »
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Senior Project Lead

City of London, London, United Kingdom
Experis
Duration: 6 Months Day rate: £650 per day inside IR35 Key responsibilities Lead a cross functional project working closely with key teams including Product, Credit risk & Technology to complete a review of all data capture and data feeds as part of credit decisioning Scope to cover secured … designed/desired' Validate that exception reports/other controls are in place to identify when failures occur Collaborate with key stakeholders across Technology, Credit risk and Product teams Key Skills required Strong attention to detail Good understanding of personal lending, unsecured and secured, and experience of the … common types of products as well as expected credit risk decisions Excellent communication skills - written and verbal Excellent project skills including ability to break down multitude of task into logic action plan with clear milestones Strong problem-solving skills and tenacity to chase down data flows and determine more »
Employment Type: Contract
Rate: £600 - £700/day
Posted:

Data Analyst

Wath Upon Dearne, England, United Kingdom
Optimise by Recruitment
in their market within the UK. They are a dynamic financial service business that is dedicated to providing innovative solutions in the realm of credit risk assessment and sustainable finance. This rapidly growing organisation is seeking a proactive and analytical individual to join their team as a Data … the growth of the data team by sharing knowledge, mentoring team members, and contributing to team development. Utilise financial services experience, particularly in handling Credit Risk Assessment (CRA) data, to inform data analysis and decision-making processes. REQUIREMENTS: Proven 3-5 years of experience with SQL and Power … BI, with a strong ability to manipulate and analyse data effectively. Previous experience in financial services, particularly in working with Credit Risk Assessment (CRA) data. Strong analytical skills with the ability to translate complex data into insights that can be understood by the wider business. Self-starter mentality more »
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Portfolio Manager (US/UK)

London Area, United Kingdom
PLATINUM & PARTNERS
to maintain sufficient liquidity for regular withdrawals and fees. Conduct regular client portfolio reviews to ensure asset allocations are in line with the agreed risk profile and investment policy statement. Communicate with the tax team and produce tax specific reports (e.g., realised & unrealised capital gains) to ensure that client … income levels, implementing necessary adjustments. Client Relationship Management: Cultivate and maintain strong relationships with Advisers and clients in order to understand their investment goals, risk tolerance and evolving needs. Examples include: Attending client meetings to discuss portfolio performance, investment strategies and any updates or changes to their investment plans. … of internal processes and procedures, such as portfolio reviews, trading, client proposals. Participating in process improvement projects to enhance operational efficiency and streamline workflows. Risk Assessment and Compliance : Ensure adherence to risk management protocols, compliance standards and regulatory requirements. Examples include: Identify and assess investment risks including market more »
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Credit Risk Analyst

Rotherham, South Yorkshire, Yorkshire, United Kingdom
Corecom Consulting
I am currently on the lookout for an experienced Risk Analyst to join a consumer finance business based in Yorkshire. Due to the nature of the business, supplying finance for eco improvements such as Heat Pumps, Solar Panels and EV chargers, they are on the forefront of our journey … Because of this though, they currently use a lot of third parties to store their data and are looking to build out an internal risk function to utilise data more efficiently. You'll get involved in immediately organising the data structures, building out a Data Warehouse and data pipelines … from the multiple data sources. From there you'll start including other data sources including telephony and others to strengthen Risk decision making. It will be your job to bolster the current Risk function, helping to build better models using Credit Risk Data to allow them more »
Employment Type: Permanent
Salary: £35,000
Posted:

Energy Flow Trader

London Area, United Kingdom
Charles Levick Limited
optimize profitability. Position Management: Manage a portfolio of gas and power positions, including spot and forward contracts, options, and other derivatives, while adhering to risk limits and compliance requirements. Flow Trading: Actively participate in flow trading activities, including market making, liquidity provision, and order execution, to facilitate client transactions … and enhance trading desk revenue. Risk Management: Monitor and manage market risk, credit risk, and operational risk associated with trading activities, utilizing risk management tools, models, and strategies to mitigate risk exposures. Client Relationships: Cultivate and maintain relationships with clients, counterparties, and brokers … to facilitate trading activities, source liquidity, and gather market intelligence. Collaboration: Collaborate closely with cross-functional teams, including sales, structuring, research, and risk management, to develop and execute trading strategies and achieve business objectives. Qualifications: Bachelor's degree in finance, economics, engineering, or a related field. Advanced degree or more »
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Asset Manager (Infrastructure Debt)

London, England, United Kingdom
Gold Group
Flexible Working We are currently looking on behalf of a global financial services organisation for someone who has experience of working within the infrastructure credit space and has hands on of carrying out the following role. On offer is a salary of £65,000 plus the above mentioned benefits … team and organisation who are able to support and nurture peoples careers and provide a stable and secure platform to perform. The Role: Provide credit risk related services including, as required, monitoring and recommendation for action for Infrastructure debt transaction across multiple mandates in a timely manner, meeting … deliverables under the relevant SLAs in time/format/quality agreed with client, to allow asset owner the assessment of their risk position and making informed decisions. Monitor the development of individual portfolio transactions, perform research and analysis and inform management as well as client of any material 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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Credit Modelling Development Manager

London, United Kingdom
Exalto Consulting
years+ of credit modelling experience with advanced SAS or SQL. Statistical backgriund with credit modelling experience. IRB experience and advantage but not essential. This role is in the IRB (Internal Rating Based Approach) Model Development Team in Risk Analytics. They are responsible for the design and delivery … of predictive credit risk measurement models relating to the Bank's Pillar 1 capital PD, LGD and EAD models. These models are used to determine the level of risk associated with individual borrowers, and drive the determination of the Bank's regulatory capital requirements. The team is … of new IRB models, which represents a key strategic objective for the bank. The role involves working closely with our colleagues across the Business, Credit Risk and the Chief Data Office. This role reports into the Head of Specialised Lending IRB Model Development, and will play a leading more »
Employment Type: Permanent
Salary: GBP 100,000 Annual
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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 »
Posted:
Credit Risk
England
10th Percentile
£40,800
25th Percentile
£43,250
Median
£51,528
75th Percentile
£95,000
90th Percentile
£130,000