Credit Risk Jobs in London

1 to 25 of 61 Credit Risk Jobs in London

Head of Credit Card Portfolio Analytics

London, England, United Kingdom
Harnham
Head of Credit Card Portfolio Analytics London Circa £100,000 Are you a seasoned analytical professional with expertise in Credit Cards Portfolio Insights seeking a pivotal role in shaping strategy and driving informed decision-making? For this role you will need the ability to influence sometimes difficult stakeholders … providing deep analytical insights to steer the business forward. It's with a pioneering fintech firm driving innovation and customer-centric solutions within the credit card industry. THE ROLE: Conduct in-depth analytical deep dives into credit card portfolio performance, providing actionable insights to inform strategy. Collaborate closely … communicate findings and influence decision-making. Drive portfolio optimization initiatives through data-driven analysis and strategic recommendations. Provide oversight and analytical support to the credit strategy team, informing and enhancing their decision-making processes. Act as a key liaison between various departments, ensuring alignment and collaboration on portfolio-related more »
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Credit Risk Manager, Energy Trading

London Area, United Kingdom
Richard James Recruitment Specialists Ltd
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 credit risk management 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 credit risk capital assessments. Key Role Responsibilities: As part of the Credit & KYC team, the Credit Risk Manager will be responsible for: Managing autonomously credit risk related requests … 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 credit 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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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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Head of Regulatory Reporting - Boutique Retail Bank

London Area, United Kingdom
JSS Search
member of the finance team with first line responsibilities for prudential matters within finance An expert in the Finance team for prudential requirements (e.g. risk weights under Pillar 1 and ICAAP in particular) and regulatory reporting (including liquidity reporting), with a good understanding of the Bank’s business model … finance team, also able to contribute on more general accounting topics and projects Responsibilities: Own all regulatory reporting policies, including the interpretation and application risk weights in the calculation of Pillar 1 credit risk Ensure the Regulatory Reporting Framework continues to meet PRA requirements and expectations as … the Bank grows. Lead on regulatory reporting submissions, including the annual benchmarking of high risk returns The Basel 3.1 project Lead the continuous improvement of controls over Prudential Reporting Work with the Prudential Risk team (2nd line) and finance’s FP&A team to coordinate and complete the more »
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Credit Risk Manager, Vice President

London Area, United Kingdom
Hybrid / WFH Options
Mizuho
of influence and base of knowledge as part of one of the largest-and growing-banks in the world. What is the opportunity? The Risk Management Department at Mizuho International is responsible for delivering an independent assessment of the risks taken across all the trading and origination activities of … the Company, and the revenue generated in relation to these risks. It is also responsible for implementing a risk management framework consistent with the Company's risk appetite and capacity of resources, in agreement with the Company's Board and Mizuho Securities. The department is led by the … Chief Risk Officer and is made up of the following teams: Market Risk Management Credit Risk Management Operational Risk Management Regulatory & Liquidity Risk Management Model Risk Management Risk Analytics Risk Reporting What will you be doing? • Primary credit risk more »
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Solutions Consultant - Fraud

Greater London, England, United Kingdom
LexisNexis Risk Solutions
About the Business: LexisNexis Risk Solutions is the essential partner in the assessment of risk. Within our Business Services vertical, we offer a multitude of solutions focused on helping businesses of all sizes drive higher revenue growth, maximize operational efficiencies, and improve customer experience. Our solutions help our customers … solve difficult problems in the areas of Anti-Money Laundering/Counter Terrorist Financing, Identity Authentication & Verification, Fraud and Credit Risk mitigation and Customer Data Management. You can learn more about LexisNexis Risk at the link below, risk.lexisnexis.com About our Team: The EMEA Fraud and Identity team … through internal handover to delivery Providing expertise by applying product and/or process to the customer bas Requirements Experience in the fraud prevention, risk, or authentication space Experience of risk management, fraud prevention, banking industry, identity verification, cyber security, malware research, credit policy or payments industry more »
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Portfolio Analyst (ESG) (Mandarin speaker)

London Area, United Kingdom
C James
Credit Portfolio Analyst role with an established corporate and investment bank in London. This role is pivotal in developing and executing stress-testing protocols for climate change risks and ensuring the accuracy and timeliness of related reporting. You will play a crucial role in monitoring the credit portfolio … and producing essential reports for various stakeholders- including Head Office, local regulators, and management committees. Key Responsibilities: Design and implement climate risk assessment scorecards in line with regulatory and headquarters' requirements. Execute climate change risk stress-tests and prepare detailed reports. Generate regular credit portfolio reports and … Maintain proactive monitoring of climate risks at both customer and portfolio levels. Contribute to departmental projects and perform other necessary functions to support the Credit Risk Department. Skills and Experience 3+ years of experience in credit portfolio management. Strong proficiency in modelling and data processing. Excellent skills more »
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Global Markets, Risk Advisory Manager

Greater London, England, United Kingdom
Hybrid / WFH Options
Mizuho
of influence and base of knowledge as part of one of the largest—and growing—banks in the world. What is the opportunity? The Risk Management Department at Mizuho EMEA is responsible for delivering an independent assessment of the risks taken across all the business activities of Mizuho EMEA … and the revenue generated in relation to these risks. It is also responsible for implementing a risk management framework consistent with the risk appetite and capacity of resources, in agreement with the EMEA CIB strategy and senior stakeholders of Mizuho Group. The department is led by the Chief … Risk Officer and is made up of the following teams: · Credit Risk Management · Credit Portfolio Risk management · Market Risk Management & Risk Advisory · Regulatory & Liquidity Risk Management · Model Risk Management & Risk Analytics · Operational Risk Management · Risk Reporting & Risk more »
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Derivatives Negotiator (BI, Netting, Collateral, ISDA, CDEA, Derivatives)

London Area, United Kingdom
Strategic Staffing Solutions
experienced Negotiator with previous skills in: Derivatives Legal/Trading/Regulatory Documentation, Legal Documents, Master Agreements, Contract Negotiation CDEA/ISDA/CSA Risk/Credit Risk BI (Tableau, Alteryx and or Alteryx) Collateral Enforcement & Netting Rules/Opinions Derivatives and BI exposure is essential for … of support and inclusiveness. Preferred Experience and Skills : Bachelor’s degree or equivalent or experience in Legal/Trading Documentation role (including within a Credit, Risk or Treasury function) or attorney/paralegal experience within a law firm. Knowledge of various legal entities including funds, insurance companies and more »
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Fraud Analytics Team Lead

London Area, United Kingdom
LexisNexis Risk Solutions
Fraud Analytics Team Lead - LexisNexis Risk Solutions About the Business LexisNexis Risk Solutions is the essential partner in the assessment of risk. Within our Business Services vertical, we offer a multitude of solutions focused on helping businesses of all sizes drive higher revenue growth, maximize operational efficiencies, and … Our solutions help our customers solve difficult problems in the areas of Anti-Money Laundering/Counter Terrorist Financing, Identity Authentication & Verification, Fraud and Credit Risk mitigation and Customer Data Management. You can learn more about LexisNexis Risk at the link below, risk.lexisnexis.com About our Team : As … ensuring that your team’s delivery is on track. Motivate your team to grow in their roles Performing data analysis to identify both high-risk and trusted behaviours, translating findings into actionable insights. Ranging from intuitive rules to high-performing policy score optimisations. which will be deployed live in more »
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Quantitative Credit Risk Advisory - Manager

London Area, United Kingdom
Morgan McKinley
You’ll be joining our team of experts within the Quantitative Risk and Valuations Advisory, and you will be responsible for managing a dedicated portfolio. This role will focus on retail and corporate credit risk provided expert advice in scorecard methods, internal ratings-based models, model validation … the offering contributing towards marketing and business development initiatives. You’ll be someone with Strong professional interest in the fields of retail and corporate credit risk, scorecard methods, internal ratings-based models, model validation, as well as UK and European regulatory standards underpinning these areas. Significant credit risk experience gained ideally from a major financial institution, another professional services firm, or a credit ratings agency. Valuation experience will be an advantage. An interest in applying tools from finance, mathematics, and data science to provide pragmatic and robust solutions to real-world problems. Strong knowledge 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
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Senior Credit Risk analyst

London
Hybrid / WFH Options
Huxley
make a difference on change projects As the EFX Senior Business, you will have significant exposure to front office users, mainly traders, Middle Office, risk analysts, and operational staff. The main focus of the role will be to take part in projects developing the feature set of various front more »
Employment Type: Permanent
Salary: £80,000 - £115,000
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Senior Software Engineer Technical Lead

London Area, United Kingdom
Nicoll Curtin
Senior Software Engineer (Technical Lead) - Java, J2EE, Adaptiv, Spring, SQL, Risk, Credit Risk, XML I am working with a leading investment bank based in London who are seeking a senior software engineer - technical lead to work in their Risk and Finance Tech team. You will be … required to assist with the development and maintenance of new systems and provide support for the Credit Risk applications. You must demonstrate strong leadership capabilities as you will be providing guidance to the technical team and mentoring junior members. Key Responsibilities: Lead Credit Risk Technology developers … offering guidance on technical solutions and training junior team members. Serve as the primary technical contact for Credit Risk Technology applications within the bank. Ensure production stability and availability, maintain housekeeping tasks, and engage with stakeholders, technology teams, and vendors to resolve Credit Risk System production more »
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Corporate Credit Risk Analyst - 6 month contract

Greater London, England, United Kingdom
Saxton Leigh
THE COMPANY: Our client is one of the leading banking groups, with millions of corporate clients worldwide. THE RESPONSIBILITIES: Process credit applications, assess credit risk 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 »
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Head of Market Risk - LNG

London Area, United Kingdom
Selby Jennings
Summary: One of the largest Utility-backed physical energy traders in LNG, Coal and Freight is looking to add an experienced Market Risk Manager to lead the Risk team in London. The Risk Specialist will support the business in all key risk management matters affecting the … organisation, including working alongside the traders – both challenging and supporting them on their daily activities. The Risk function forms part of our Middle Office and is responsible for the design of risk methodologies, implementation of suitable risk control frameworks and providing both qualitative and quantitative market risk analysis and risk control solutions. Responsibilities: Develop and maintain engines for calculating VaR, CaR and PFE. Conduct an in-depth quantitative analysis across the risk and credit functions, ensuring the models and portfolios are performing as intended. As a leader in the risk control team more »
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Counterparty Credit Risk Regulatory Lead

Greater London, England, United Kingdom
HSBC
Counterparty Credit Risk regulatory lead Rate: Umbrella: £899.03 Location: London/Edinburgh Duration: End of the year Role Summary: HSBC are currently recruiting for a Counterparty Credit Risk regulatory lead where you shall provide support with high profile regulatory submissions related to our Internal Model Method … and opine on regulatory policy. Preparation of responses and, where relevant, submissions to regulators. Prepare 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 proactively manage and deliver regulatory opinions on model applications. The role holder will be expected to work with regional policy leads and Group Traded Risk more »
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Hedge Fund Credit Risk Manager, VP

London, England, United Kingdom
Jefferies
Job Description VP role within Global Counterparty Credit Risk management 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 … 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 margin requirements Perform ongoing client financial, credit, and industry surveillance; Develop working relationships and coordinate efforts closely with internal front office partners and colleagues across Risk and other corporate functions; Maintain credit pipeline of potential more »
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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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Credit Risk Manager- Portfolio

London Area, United Kingdom
InterQuest Group
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 impact on more »
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Senior Risk Manager

London Area, United Kingdom
ClearToken
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 Risk management architecture of a CCP covering. This is … default process with hedge execution and portfolio sale o Design of Default waterfall and loss allocation procedures o Recovery and Resolution planning documentation Initiating credit risk management processes, building out the team to perform this function, and designing wrong way and concentration risk management structures Creating the more »
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Senior Credit Risk Analyst | £40k - £45k | Ethical, Responsible lender

Greater London, England, United Kingdom
Hybrid / WFH Options
Skillful
Role: Senior Credit Risk Analyst 📌 Location: East London - 3 days in the office + extra 20 WFH days a year to be taken when you like. 📌 Salary: £45,000 A responsible, fair and social lender are looking for a Senior Credit Risk Analyst to transform their … credit risk offering… and what a company to join! This lender aims to make sure everyone, from all walks of life, are able to receive the credit they deserve. They are an alternative to the high-cost lending market and want to reduce financial exclusion across the … analytical skills to good use, and really, truly help people, this is the company to join!! Anyway, the role! You will be their first Credit Risk hire and work directly with the CRO to take their credit risk function to the next level. They have a more »
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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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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 Risk
London
10th Percentile
£45,000
25th Percentile
£46,375
Median
£76,250
75th Percentile
£127,188
90th Percentile
£133,875