Credit Risk Analysis Jobs

7 Credit Risk Analysis Jobs

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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Loan Asset Manager - Corporate Credit

London Area, United Kingdom
Macdonald & Company
Our client is a leading asset management and investment advisory firm who require a Corporate Credit Loan Asset Manager to manage a book of loans predominantly backed by Non-performing Loan portfolios originated by a major global investment bank. Key Responsibilities and Experience The corporate credit asset manager … should have an analytical mind-set, good knowledge of corporate credit (analysis of financials, credit metrics) and have strong client management and communication skills. The role involves close contact with a client, the role would suit candidates who can work independently and are motivated to learn in … a fast-paced environment. Candidates would ideally have between at least 4-8 years’ experience in corporate loan asset management, portfolio management, credit risk and/or corporate lending. Collateral Checks prior to PE manager drawdowns, credit analysis and monitoring portfolio companies’ performance. Use of VBA more »
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Head of Credit Analytics - Consumer Finance

Manchester Area, United Kingdom
CBC Resourcing Solutions
Head of Credit Analytics - Consumer Finance Manchester - Hybrid - three days a week in city centre Manchester £80,000 to £100,000 per annum plus excellent bonus and benefits package The Client: A specialist bank providing a range of lending and savings products for the UK SME and retail consumer … product to complement its existing range of lending products. The Role: Leading all aspects of the bank's automated lending decisioning as it streamlines credit risk analysis and launches into new product areas including a new consumer hire purchase retail offering. Designing and implementing consumer lending decision … strategies, rulesets and scorecards supported by best-in-class modern technology. Owning the risk-based pricing model, reporting and monitoring automated decisioning performance. Feeding back performance observations and suggesting improvements to the consumer lending team including underwriting, collections and customer services. Assisting the finance team with the development of more »
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Corporate Credit Analyst - Islamic Finance & Real Estate

London Area, United Kingdom
Paritas Recruitment
Corporate Credit Analyst - Islamic Finance & Real Estate A diverse and challenging role exists with a boutique bank in London who are seeking an experienced Corporate Credit Analyst to join their team. You will have recent and in-depth corporate credit analysis experience covering emerging markets, and … a smaller bank, someone who is open to having a broader remit is key. You will work closely with the front office and other credit managers to complete credit applications, engage with senior management and assist the Head of Credit to develop and implement policy. Previous sanctioning 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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Junior Credit Analyst (12 Month Contract)– Mandarin speaking - 18873

London Area, United Kingdom
Saxton Leigh
THE COMPANY: Our client is multinational Corporate banking company, with over 13,000 branches worldwide. THE RESPONSIBILITIES: Assist RMs and CAs in preparation of credit applications, annual review and ratings, with key focus on applications submitting to Head Office Credit Committee where Chinese Cover Letter is required. The … for department meetings or when required. Support internal policy review and internal control assessment. Support the department head/team head where necessary in credit and other ad hoc tasks. To maintain a keen interest and awareness of market trends in international business including key trends and events in … the UK and international credit markets. EXPERIENCE REQUIRED: Excellent Mandarin and English written skills. Have 2-3 years of experience in a Commercial, Corporate or investment banking environment. Experience in credit analysis or RM assistant related role would be an advantage but not mandatory. Educated to degree 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
25th Percentile
£102,500
Median
£110,000
75th Percentile
£143,750