Credit Risk Jobs in London

1 to 25 of 79 Credit Risk Jobs in London

Lead Software Quality Assurance Analyst

London, United Kingdom
Fitch Ratings
based out of our London, New York or Chicago office. Fitch Solutions provides data, research, and analytics that help clients excel at managing their credit risk, offer deep insight into the debt investment market, and provide comprehensive intelligence about the macroeconomic environment. All are available on our platform … Fitch Connect, designed, and built using our credit, macro, and industry expertise to help you make more informed decisions.QA Lead will be joining a fast-paced team. The candidate will be responsible for working on multiple projects and collaborating with Product managers, Developers, QA team members, and other business … on a new platform, with a unified interface and login. Now more than ever before, we give our clients the ability to KNOW MORE, RISK BETTER. CreditSights was founded over 20 years ago with the goal of producing insightful, impartial research that would allow our clients to make prudent more »
Salary: £ 70 K
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Engineering Manager

London, United Kingdom
Hybrid / WFH Options
Quantexa
a single networked view of internal and external data as an input to analytical and AI models. From compliance, fraud, anti-money laundering and credit risk to customer intelligence and master data management, Quantexa partners with Global Tier 1 Insurers and Banks, Government Agencies and Technology companies to more »
Salary: £ 70 K
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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
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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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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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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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Associate Director

London Area, United Kingdom
Future find
handle complex issues. Direct experience of financial modelling and sound understanding of financial statements is non-negotiable. Comprehensive knowledge of leveraged finance structures and credit risk considerations. Interested in commercial considerations and capability to apply strategic thinking, as well as having an ambitious attitude towards self-development. Full more »
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Liquidity Risk Manager

Greater London, England, United Kingdom
CMC Markets
We are looking to high an experienced Liquidity Risk Manager. Within this role you will be responsible assisting with the implementation of an effective Liquidity Risk framework. As the Liquidity Risk Manager, you will assist in ensuring that mandated aspects of liquidity risk are correctly captured … reported and scrutinised in a timely and efficient manner, which is in line with a market leading second line of defence risk liquidity function. ***This role is based onsite at our Liverpool Street office 5 days per week*** Key Responsibilities: Assist the Liquidity Risk function in supporting the … business by providing risk oversight for its current and future initiatives. The Liquidity Risk Manager will take ownership of the liquidity risk elements as part of any projects, ensuring timely delivery in line with requirements. Continue to develop the Liquidity Risk processes, procedures, standards and policies. 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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Regulatory Reporting Accountant

London Area, United Kingdom
Hybrid / WFH Options
Gresham Hunt
services experience within banking or building societies. Proficient experience in regulatory reporting, covering COREP, FINREP, PRA, and statistical returns. Knowledge of liquidity, capital, and credit risk is advantageous. Experience with the implementation of regulatory reporting and Treasury Management Systems is desirable. Competencies: Strong analytical and numerical skills. Proficient 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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Lead Modeller

City of London, London, United Kingdom
Canada Life Group (UK) Ltd (The)
with expertise on financial and tax planning, offering home finance and annuities propositions, and providing collective fund solutions to third party customers Job Purpose Credit risk and asset optimisation team is responsible for developing industry leading asset solutions for insurance balance sheet, covering Solvency II capital, rating, structuring … risk management and valuation. As the Modelling Lead for complex assets, the role holder will: - Provide strategic leadership to enhance CLUK's modelling capability for complex assets - Lead the enhancement of the efficiency of the existing models/tools, as well as provide subject-matter expertise in developing new … through demonstration of competency and achieve buy-in from wider business on key modelling agenda. • Experience of working collaboratively with oversight function such as risk and audit to achieve positive results. Taking Initiative • Actively explore model optimisation opportunities by enhancing efficiency and capabilities of the model • Being delivery-focused more »
Employment Type: Part Time
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Counterparty Credit Risk Officer

London Area, United Kingdom
Societe Generale Corporate and Investment Banking - SGCIB
unique needs and utilizes their diverse talents.  Engage our community and marketplace and position the organization to meet the needs of all its clients. RISK DIVISION (RISQ) Risk Management in the UK is organised along a three lines of defence model with well-defined and segregated responsibilities aligned … regulatory requirements and guidance. RISQ is part of the 2nd line of defence and aims to independently analyse, challenge, opine on and monitor the risk-taking activities of the Business Lines thereby enabling effective execution of the Bank’s strategy in line with its risk appetite. Within RISQ … Department, RISQ/RMA/CRM team plays a central role for LoD2 Counterparty Credit Risk (CCR) management transversally across all types of counterparties, all metrics and activities, leveraging functionally on the whole community within RISQ/RMA department working on counterparty credit risk management and more »
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Credit Officer

London Area, United Kingdom
KennedyPearce Consulting
A Global bank based in London, currently seek a Credit Officer with a proven background in Credit Analysis, Credit Risk Control, and documentation review Job Purpose Documentation review: Conducting thorough reviews of facility agreements to ensure compliance with credit approval requirements Customer archiving management: Ensuring … all legal/credit documents are fully collected before agreement signing. Credit risk monitoring and portfolio management Key Responsibilities & Accountabilities Documentation Review Assessing the operational feasibility of corporate loan documents including but not limited to Facility agreement, Silent sub participations, Agency documents, Secondary Trades and Security Agent … s role. Ensure that the minimum requirements for drawdown are achieved prior to disbursement (i.e. facility agreement and term sheets are executed, credit approval is in place, Conditions Precedents are satisfied and utilisation requests are valid). Conduct thorough reviews of credit documentation to ensure compliance with regulatory more »
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Credit Risk Manager

London Area, United Kingdom
Hybrid / WFH Options
Quant Capital
Credit Scorecard Manager £120,000 Plus 10% Bonus Remote Working 2 days per month in the office Quant Capital is urgently looking for a Credit Risk Manager to join our high profile client. My Client is a well known global (yet not too corporate) financial software (fintech … 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 Credit Risk Manager 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 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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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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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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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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Data Science Developer - London

London, United Kingdom
BCT Resourcing
Performance Analytics team. In this position, you will be at the forefront of leveraging advanced quantitative techniques to enhance decision-making processes for Private Credit, Liquid Credit, and Private Equity Fund of Funds products Investment Products.Key Responsibilities 1 Model Development and Enhancement: * Utilise your expertise in machine learning … and deep learning to develop and refine quantitative models, such as credit risk models and alpha models, for risk assessment, portfolio optimisation, and alpha generation. * Collaborate with cross-functional teams to integrate advanced quantitative techniques into the investment process and corporate fund finance operations.* Data Analysis and … align with overall business strategies. * Work with large datasets, utilising statistical methods and machine learning algorithms to extract meaningful insights that inform investment decisions. * Risk Management: * Contribute to a well-rounded approach to managing risks across our diverse alternative investment products, corporate fund finance, and treasury management. * Monitor and more »
Salary: £ 100 K
Posted:

Director, Head of Commercial & Pricing, Life Moments

London Area, United Kingdom
Hybrid / WFH Options
Barclays UK
of Barclays to create excellent outcomes and positively influence • Responsible for defining and leading the development of strategic commercial initiatives to optimise product mix, risk appetite and margin in order to achieve growth of the product and our commercial objectives • The role has an impact for determining the professional … the business, utilising resources effectively to create a sustainable model, whilst also ensuring future strategy is understood and delivered by colleagues. • Ensuring operational and risk frameworks are adhered to for all direct reports, including observations. • Responsible for effectively using insights and analytics to help shape, embed and validate the … team to support insight and optimisation including working closely with internal stakeholders such as Analytics Centre of Excellence (ACE), Marketing Centre of Excellence, Treasury, Risk and Finance • Ensure all stakeholders and Partners across Barclays UK understand the product vision and associated priorities • Work closely with stakeholders across the team more »
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Integrated Forecasting Manager

Greater London, England, United Kingdom
InterQuest Group
The Company is an independent boutique consulting firm that have extensive global experience and industry recognition in the financial services, risk management and finance communities. a boutique consulting firm focused on risk, finance and strategy, they deliver innovative concepts and methodologies based on specialist experience and analytical backgrounds … across multifaceted competencies of risk, finance and strategy they overcome the traditional silo thinking and offer client-specific solutions as well as sustainable implementation development strategies people driven they allow members of all levels to actively participate in the running and development of their young firm They are looking … for an individual who has: years of experience in consulting for financial services and/or the banking industry (risk management, balance sheet management or finance business planning). academic background with a post-graduate degree in an analytical field. experience in (i) finance business planning, (i) treasury/ more »
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Software Engineer

London Area, United Kingdom
Harrington Starr
Core/React/Svelte/Azure The Project: Our client is looking to bring in a senior software engineer to develop high-quality risk and valuation systems for the business to better maximise trading. Responsibilities Develop quality software and web applications Analyze and maintain existing software applications Working … to develop risk systems (Better understanding of traded risk/market/credit risk) Developing valuation systems for their products Must Have .NET Core React/Svelte, Strong ability with SQL Experience with developing in an Azure environment. Financial services experience and understanding of full trading more »
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Head of IBA

City Of London, England, United Kingdom
Finitas
effective Fiduciary Accounting services to the business. Some responsibilities include: Overall responsibility for all Fiduciary Accounting functions including but not limited to Client Money, Credit Risk, Funding, Allocation of Cash and Unforwarded Balances. Authorise client and underwriter payments. Assist and guide team members with reconciliations of complex ledger … accounts. Monitor and improve processes & procedures to ensure credit control policies are maintained. Assist with ad-hoc projects as and when required. Evaluating and managing the performance of direct reports ensuring they have the correct training & development in place and are adhering to company policies and procedures. Producing regular … on the ageing of unallocated cash, funding, payable credits, aged debt, doubtful brokerage and other key KPI's required by the Client Money or Credit Control Committees. Prepare FCA monthly, quarterly and annual reporting as and when required. Experience required: Must be from an insurance background - ideally London market more »
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Credit Risk
London
10th Percentile
£45,000
25th Percentile
£46,750
Median
£85,000
75th Percentile
£127,500
90th Percentile
£134,250