Permanent Credit Risk Analysis Jobs in the UK

12 Permanent Credit Risk Analysis Jobs in the UK

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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Risk, Credit Risk, Counterparty Risk - Fund Management, Vice President/Executive Director, London

London, England, United Kingdom
Goldman Sachs
RISK Our Risk division develops 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. COUNTERPARTY CREDIT RISK Credit Risk is responsible for managing the firm's credit exposure to its trading and lending counterparties. Leveraging its … extensive expertise in financial, credit and risk analysis, CR ensures that credit exposure to our counterparts is managed within the firm's risk appetite. Credit professionals work closely with many areas of the firm. Given this structure, CR professionals gain diverse financial experience and 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 more »
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Senior Business Analyst, Corporate Banking, Business Development (Fluency in French is essential)

London Area, United Kingdom
FirstBank UK Limited
hour lunch. Key Responsibilities: This role is to support the Corporate Banking Unit of FirstBank UK. The Bank requires a graduate with strong credit analysis and front office experience with French language being a crucial requirement. You will be supporting the Relationship Managers (RMs) and Head in origination … and on-going KYB requirements in a timely manner and in line with the Bank’s policies and procedures. • Working closely with the Business Risk Compliance team to ensure all compliance checks are done within the required timeframe with no adverse findings by the 2LoD. • Preparation and timely delivery … of credit applications with detailed financial analysis using correct data points for new and existing relationships. • Working to a high degree of accuracy to avoid operational errors/losses and customer complaints • Supporting the Relationship Managers with day-to-day management of client relationships and facilities, including but more »
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Python Developer Software Engineer AWS Finance Trading London

London, United Kingdom
Hybrid / WFH Options
Joseph Harry Ltd
Python Developer (Software Engineer Programmer Developer Python Fixed Income JavaScript Node Fixed Income Credit Rates Bonds ABS Vue Angular React Agile AWS GCP Buy Side Asset Manager Investment Management Performance Risk Attribution TypeScript Node Finance Front Office Trading Financial Services) required by our asset management client in London. … You MUST have the following: Strong experience as a Python Developer/Software Engineer/Programmer Good Python Experience working in Fixed Income (rates, credit, bonds, ABS) Some Front End ability (Vue, React or Angular good but not necessary) Agile The following is DESIRABLE, not essential: AWS or GCP … Buy-side Data tools such as Glue, Athena, Airflow, Ignite, DBT, Arrow, Iceberg, Dremio Fixed Income performance, risk or attribution TypeScript and Node Role: Python Developer (Software Engineer Programmer Developer Python Fixed Income JavaScript Node Fixed Income Credit Rates Bonds ABS Vue Angular React Agile AWS GCP Buy more »
Employment Type: Permanent
Salary: GBP Annual
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Project Finance Credit Analyst

London Area, United Kingdom
Carr Lyons Search & Selection
My client, a large International bank, are seeking a talented and driven Project Finance Credit Analyst to join their dynamic team. As a Project Finance Credit Analyst, you will play a key role in assessing and evaluating the creditworthiness of project finance transactions across Energy and Infrastructure sectors … ensuring prudent risk management and supporting the bank's strategic objectives. Key Responsibilities: Conduct comprehensive credit analysis of project finance transactions, including financial modeling, risk assessment, and due diligence. Evaluate the financial viability, structure, and feasibility of project proposals, assessing key risks and mitigants. Prepare detailed … credit reports and recommendations for senior management, highlighting key findings and risk factors. Collaborate closely with internal stakeholders, including relationship managers, legal counsel, and risk management teams, to structure and negotiate credit facilities. more »
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High Yield Credit Research Analyst – Associate/VP

London Area, United Kingdom
Confidential
Our client, a well-respected investment management firm, are seeking to add a talented credit research analyst to their London based fixed income team. This is an excellent opportunity to join a high-performing and growing team, working alongside the portfolio managers, analysts and traders to conduct research on … the global high yield corporate credit market. The ideal candidate will therefore be able to demonstrate the following: Proven experience in research/analysis and presentation of investment ideas across the high yield credit market to the portfolio management team Strong communication skills when liaising with the … PMs, other analysts and the traders and in presenting ideas Well developed fundamental credit analysis skills, including financial modelling, analysis of legal documents and valuation analysis The ability to liaise and develop their sell-side and advisory professional network to further support industry/sector research more »
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Market data Python developer

London Area, United Kingdom
CRISIL Limited
It has deep expertise in the areas of equity and fixed income research (covering global economies, 150 global sectors and over 3000 global companies), credit analysis, exotic derivatives valuation, structured finance, risk modelling and management, actuarial analysis and business intelligence. Job Duties- We are looking for … 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 … in Market Data domain, deep understanding of Market Data (Curves, Vols), market data sources, reference data, Python development experience Experience of working on large risk change programs at Investment Banks with multiple work streams & multiple stakeholders Experience on participating in end-to-end development lifecycle in a rigorous test more »
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Africa & Middle East Region Head - Private Credit - Financial Institutions & Fintech

England, United Kingdom
DWM
Africa & Middle East Region Head – Private Credit – Financial Institutions & Fintech Introduction: Do you want to make a difference and contribute to creating a better world? Are you interested in developing your skills and knowledge, while putting your ideals to work? Join us, we are a frontrunner in global impact … more information please visit our website: http://www.dwmarkets.com. Title: Region Head – Africa & Middle East – Financial Institutions & Fintech Reporting Line: Head of Private Credit The Role: You will join Developing World Markets’ (DWM) Private Debt team and have responsibility for the strategic planning, transaction, and team development activities … transactions. Player The AME Region Head is responsible for establishing the strategic plan for the region in a way that is consistent with the risk-, return-, and impact-objectives of DWM’s various private debt fund investment mandates. In fulfillment of that plan, the AME Region Head will lead more »
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Senior Associate, Credit Solutions

London Area, United Kingdom
LIQUiDITY Group
global financial institutions including Japan’s largest bank, MUFG, Spark Capital, and Apollo Asset Management. About the Role We are looking for highly motivated credit professionals who are able to work independently and in a team to execute machine-learning-assisted growth funding in London. You will be joining … intelligence on your side, engaging in dynamic structuring of growth stage deals across the tech ecosystem. You love taking a deal from the initial analysis through to the funding process including negotiating directly with the company, drawing up investment memos, and presenting them to the investment committee. Your competitive … Today, while many companies are struggling to raise capital, you’ll be enabling tech companies to fulfill their growth potential. You will: Conduct detailed credit analysis Collect and analyze tech companies’ financial and operational data Perform due diligence using an in-house AI-based underwriting platform allowing for more »
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Director | Corporate Banking | Natural Resources (Mining, Energy & Power) | London

London Area, United Kingdom
Selby Jennings
the Natural Resources (Mining, Energy and Power) sector. University Degree or MBA, CFA or CA designation encouraged but not required. Previous corporate banking or credit analysis experience. Strong financial modeling skills and accounting knowledge. Advanced Microsoft Suite skills (Excel, Word, PowerPoint). Excellent written and verbal communication skills. more »
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Portfolio Manager, Credit

Greater London, England, United Kingdom
Confidential
We're presently advising a large global asset manager on their 2024 growth within global fixed income and credit markets. As part of these expansion plans, a key hire will be for a senior credit portfolio manager in London. this role will focus on the ongoing build of … both a European and global credit platform across liquid credit - investment grade, crossover and high yield (bonds, CDS, etc.). The ideal candidate will be able to demonstrate significant credit portfolio management within European fixed income, and must possess appropriate L/S strategy experience, alongside a … proven track record of exceptional risk management, portfolio construction and fundamental credit analysis. The successful candidate will join an international leader within the FICC markets, and will benefit from fantastic management support and a platform well-suited to credit trading and investment. more »
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Credit Risk Analysis
10th Percentile
£85,050
25th Percentile
£102,500
Median
£110,000
75th Percentile
£143,750