Remote Permanent Credit Risk Jobs

1 to 25 of 298 Remote Permanent Credit Risk Jobs

Quantitative Analyst (Portfolio & Credit Risk)

London, United Kingdom
Hybrid / WFH Options
Oodle Car Finance
London Quantitative Analyst (Portfolio and Credit Risk) London Discretionary Company Bonus Scheme 25 days holiday (rising to 28 after 3 years' service) pro rated, plus bank holidays, to take time to recharge and do something you love. Private Medical - via vitality, with reward schemes paid for you and your family. Health cash plan - via Simply Health for employee … on their journey with us. Our Talent Development team is here to support your growth, providing opportunities for learning, development, and career progression. The Role Quantitative Analyst (Portfolio and Credit Risk) at Oodle Car Finance. Location and working style We're based in Shoreditch, London - a 3-minute walk from Old Street station. While we operate under a … requires 2-3 office days weekly. This ensures a smooth learning curve and fosters team integration. Overview: We're on the lookout for a Graduate Quantitative Analyst - Portfolio and Credit Risk to join our expanding team. This role will give you an opportunity to dive into a world of data, strategic analytics, and funding driven initiatives, all while More ❯
Employment Type: Permanent
Salary: GBP Annual
Posted:

Senior Credit Risk Analyst

London, England, United Kingdom
Hybrid / WFH Options
Harnham
Your actual pay will be based on your skills and experience — talk with your recruiter to learn more. Base pay range Direct message the job poster from Harnham Building Credit Risk, Fraud,and Pricing Analytics Teams in Lending and Insurance I The Talent Driving The Data and AI Revolution £60,000 – £80,000 + up to 15% bonus … at a fast-growing fintech firm specialising in embedded finance. This role offers the chance to work with high-profile global partners and play a key part in shaping credit risk strategy through data-driven insights and advanced analytics. The Company This award-winning fintech operates across the UK, EU, and US, empowering tech firms, payment platforms, and … e-commerce leaders to offer flexible, branded financing to their merchant bases through a cutting-edge software. The Role Perform in-depth portfolio-level credit risk analysis using statistical methods and data modelling Monitor and evaluate customer segment performance to identify risk trends and opportunities Contribute to the design and enhancement of credit risk policies More ❯
Posted:

Credit Risk Management Analyst - Citi

London, England, United Kingdom
Hybrid / WFH Options
Jobs via eFinancialCareers
Wholesale Credit Risk Data Analyst - AVP Wholesale Credit Risk Data Analyst - AVP Citi London, United Kingdom Apply now Posted 9 hours ago Permanent Competitive Are you looking for a career move that will put you at the heart of a global financial institution? Then bring your knowledge in Counterparty Credit Risk and your skills … in data analysis & problem-solving to Citi's Product Development team, focused on Institutional Credit Management (ICM). Team/Role Overview Institutional Credit Management provides integrated end-to-end credit underwriting and credit risk management for Citi's wholesale businesses. This data-analytics focused product development role will execute credit risk target … state processes, data & technology capabilities. Based in London, col-located with Citi's Senior Risk Officers, this role will position the right candidate for significant future growth potential in Data, Product Development and Credit Risk. What you'll do Design, develop, and maintain advanced dashboards to support credit risk teams in monitoring and analyzing key metrics. More ❯
Posted:

Counterparty Credit Risk Manager, Vice President, Hybrid

London, England, United Kingdom
Hybrid / WFH Options
ZipRecruiter
of myGwork – the largest global platform for the + business community. Please do not contact the recruiter directly. Who we are looking for The position is for a Counterparty Credit Risk Manager within the Global CCR team, which is part of the wider Financial Risk team within the Enterprise Risk Management Division. The team is primarily … responsible for the oversight of credit risks arising from the activities within State Street Markets business unit (SSM) and Global Treasury. SSGM, a division of State Street Bank & Trust Co., engages in a variety of capital markets business activities, including securities finance, funding and collateral transformation, and sales and trading in foreign exchange markets. The position is for a … strong technical and quantitative aptitude providing CCR oversight as part of the Global CCR team. What you will be responsible for As CCR Manager you will · Provide global independent credit risk oversight of credit exposures across CCR activities including risk identification, risk measurement, risk controls and limits, documentation and risk monitoring and reporting More ❯
Posted:

Senior Credit Risk Manager - UK

London, England, United Kingdom
Hybrid / WFH Options
PayPal, Inc
to exchange funds more safely with merchants using a variety of funding sources, which may include a bank account, a PayPal or Venmo account balance, PayPal and Venmo branded credit products, a credit card, a debit card, certain cryptocurrencies, or other stored value products such as gift cards, and eligible credit card rewards. Our PayPal, Venmo, and … us to ensure we take care of ourselves, each other, and our communities. Job Summary: What you need to know about the role: As the owner of customer management risk strategies for the revolving PayPal Credit product in the UK, you will take full accountability for shaping and evolving how we lend. You'll build upon existing frameworks … to drive both growth and profitability, all while operating firmly within our defined risk appetite. Your insights and decisions will directly influence the performance of one of our flagship credit offerings. Meet our team: You'll join the Credit Risk team, whose remit is to define and govern the lending strategies and policies that guide how More ❯
Posted:

Quantitative Risk Business Analyst

London, England, United Kingdom
Hybrid / WFH Options
Visa
Join to apply for the Quantitative Risk Business Analyst role at Visa Join to apply for the Quantitative Risk Business Analyst role at Visa Get AI-powered advice on this job and more exclusive features. Visa is a world leader in payments and technology, with over 259 billion payments transactions flowing safely between consumers, merchants, financial institutions, and … the best way to pay and be paid. Make an impact with a purpose-driven industry leader. Join us today and experience Life at Visa. Job Description The Quantitative Risk Business Analyst will assist the Director, Financial Risk Lead at Visa Direct for counterparty, market and liquidity risks. Reporting to the Director, the role with provide timely and … high-quality output to internal stakeholders relating to assessing such risk, undertaking risk analysis and making recommendations for risk treatment activities consistent with applicable frameworks, policies and Visa’s Risk Appetite. This role would benefit from some understanding of the payments and financial services industry, business environment and implementing risk treatment activities within that setting More ❯
Posted:

Content Operations Analyst

London, England, United Kingdom
Hybrid / WFH Options
Credit Benchmark
Join our team of technology, financial services and data experts. Credit Benchmark is a financial data analytics company bringing together the credit risk assessments of the world’s leading financial institutions to deliver greater visibility into the credit quality of individual entities. We are growing rapidly and are looking for a permanent, full time Content Operations … hybrid working. The role Reporting to the Head of Client Operations, the ideal candidate will be ready to start a career in the financial industry with an interest in credit risk and the broader financial markets. We would also consider someone with some existing experience (1- 3 years) within the industry. This is a great opportunity to join … As a Content Operations Analyst, the candidate will be part of a busy and diverse team and will play a key part in maintaining and helping develop our growing credit risk data service. They will help to implement, and optimize data-driven solutions that empower our business and stakeholders and use technical expertise and analytical skills to solve More ❯
Posted:

Credit Risk Lead Analyst • AUS | London, UK

London, England, United Kingdom
Hybrid / WFH Options
PayPal, Inc
to exchange funds more safely with merchants using a variety of funding sources, which may include a bank account, a PayPal or Venmo account balance, PayPal and Venmo branded credit products, a credit card, a debit card, certain cryptocurrencies, or other stored value products such as gift cards, and eligible credit card rewards. Our PayPal, Venmo, and … us to ensure we take care of ourselves, each other, and our communities. Job Summary: As PayPal continues its mission to revolutionize commerce, we are looking for a skilled Credit Risk Lead Analyst to join our Buy Now Pay Later (BNPL) Risk Team, focusing on the Australia BNPL products. In this role, you will use data to … drive key business decisions, optimize credit risk strategies, and help shape effective credit risk management at PayPal. If this intro sparks your interest, read on - the best is yet to come! Job Description: Your Way to Impact As the Credit Risk Lead Analyst for the Australia BNPL products, you will be an integral part More ❯
Posted:

Credit Risk Lead Analyst • AUS

London, England, United Kingdom
Hybrid / WFH Options
PayPal
Join to apply for the Credit Risk Lead Analyst • AUS role at PayPal 4 weeks ago Be among the first 25 applicants Join to apply for the Credit Risk Lead Analyst • AUS role at PayPal The Company PayPal has been revolutionizing commerce globally for more than 25 years. Creating innovative experiences that make moving money, selling … to exchange funds more safely with merchants using a variety of funding sources, which may include a bank account, a PayPal or Venmo account balance, PayPal and Venmo branded credit products, a credit card, a debit card, certain cryptocurrencies, or other stored value products such as gift cards, and eligible credit card rewards. Our PayPal, Venmo, and … to ensure we take care of ourselves, each other, and our communities. Job Description Summary: As PayPal continues its mission to revolutionize commerce, we are looking for a skilled Credit Risk Lead Analyst to join our Buy Now Pay Later (BNPL) Risk Team, focusing on the Australia BNPL products. In this role, you will use data to More ❯
Posted:

Head of Lending & Financing Risk Technology

City of London, England, United Kingdom
Hybrid / WFH Options
Selby Jennings
Head of Lending & Financing Risk Technology Head of Lending & Financing Risk Technology Direct message the job poster from Selby Jennings We're working with a leading global financial institution to find a senior technology leader to drive the delivery of data, analytics, and risk solutions across their lending syndication and financing risk business. This is a … high-impact role at the intersection of credit, data, and modern software delivery - ideal for someone who thrives in complex environments and wants to shape the future of credit risk technology. What You'll Be Doing Lead the design and delivery of scalable analytics and risk solutions supporting loan syndication, portfolio management, and financing risk. Collaborate … developers, data scientists, and business stakeholders. Translate business needs into modern, data-driven software solutions that improve decision-making and revenue optimization. Oversee the development of tools that support credit risk analytics, commercial loan pipelines, and portfolio optimization. Manage complex software projects, ensuring timely delivery, cost tracking, and alignment with business goals. Leverage AI and GenAI tools to More ❯
Posted:

Prudential Risk Manager

London, England, United Kingdom
Hybrid / WFH Options
PayPal
Join to apply for the Prudential Risk Manager role at PayPal 1 week ago Be among the first 25 applicants Join to apply for the Prudential Risk Manager role at PayPal The Company PayPal has been revolutionizing commerce globally for more than 25 years. Creating innovative experiences that make moving money, selling, and shopping simple, personalized, and secure … to exchange funds more safely with merchants using a variety of funding sources, which may include a bank account, a PayPal or Venmo account balance, PayPal and Venmo branded credit products, a credit card, a debit card, certain cryptocurrencies, or other stored value products such as gift cards, and eligible credit card rewards. Our PayPal, Venmo, and … ensure we take care of ourselves, each other, and our communities. Job Description Summary: We’re seeking a pragmatic, analytically minded professional with strong prudential insight to join our risk management team. This is a high-impact role for someone who can bridge regulatory knowledge with hands-on delivery across all risk stripes —especially in the areas of More ❯
Posted:

Senior credit risk strategy analyst

London, England, United Kingdom
Hybrid / WFH Options
Harnham
Your actual pay will be based on your skills and experience — talk with your recruiter to learn more. Base pay range Direct message the job poster from Harnham Building Credit Risk, Fraud, and Pricing Analytics teams in the Lending and Insurance Sectors | The Talent Driving The Data and AI Revolution SENIOR CREDIT STRATEGY ANALYST LONDON Join a … If you're looking for a chance to shape impactful strategies in a successful and fast-growing business, this could be the ideal role. THE ROLE As a Senior Credit Risk Strategy Analyst, you will focus on developing and refining customer strategies, including: Leading the development of diverse lending strategies Leveraging analytics and data insights to optimize and … the lending portfolio Conducting broader customer analytics and analyzing behavioral trends REQUIREMENTS Experience working in fast-paced environments, with the ability to manage multiple projects Background in commercial or risk strategy, preferably within consumer lending Proficiency in SQL, with Python experience being highly advantageous Previous experience in a FinTech environment HOW TO APPLY Please apply to the link below More ❯
Posted:

Lead Credit Risk Business Analyst

London, England, United Kingdom
Hybrid / WFH Options
ICBC Standard Bank Group
Join to apply for the Lead Credit Risk Business Analyst role at ICBC Standard Bank Plc Join to apply for the Lead Credit Risk Business Analyst role at ICBC Standard Bank Plc The Lead Credit Risk Business Analyst is responsible for leading the analysis and implementation of technology solutions for credit risk management. This role involves working closely with stakeholders to gather requirements, develop and maintain credit risk models, ensure data integrity, and provide strategic insights to enhance credit risk processes. Collaboration with cross-functional teams, compliance with regulations, and driving innovation are key aspects of this role. What you'll be doing Lead the analysis of … business requirements for credit risk management solutions. Collaborate with stakeholders to gather and document detailed requirements. Support the design, development, and implementation of credit risk models and systems. Ensure the integration of advanced analytics and machine learning techniques to enhance credit risk assessment. Ensure the accuracy, integrity, and reliability of credit risk More ❯
Posted:

Credit Risk Analyst (Collections Strategy)

London, England, United Kingdom
Hybrid / WFH Options
Salary Finance
the Financial Times, the Times, the Wall Street Journal, the Guardian, the Telegraph, CityAM and the Institute of Directors. Your role in our mission We are looking for a Credit Risk Analyst to join us and help to support our customers that are struggling with their repayments. What you'll do Take ownership of our management of customers … a thirst to grow where you have gaps, this role might be for you Experience in any of the following Collections strategy at any stage of the collections lifecycle Credit decisioning or building collections models Financial Services or FinTech, ideally consumer credit Experience with Python or other coding languages like R Experience working in a fast-paced and … tech driven startup environment. General understanding of the regulatory environment for consumer credit (don't worry if not - we provide full training!) Who you are We embrace our differences, but there's one thing we like to share, which is our values, so it's important to us that you are: Fearless, and able to make the impossible possible. More ❯
Posted:

Senior Credit Analyst, Personal Borrowing Cardiff, London or Remote (UK)

London, United Kingdom
Hybrid / WFH Options
Monzo
Senior Credit Analyst, Personal Borrowing Cardiff, London or Remote (UK) We're on a mission to make money work for everyone. We're waving goodbye to the complicated and confusing ways of traditional banking. With our hot coral cards and get-paid-early feature, combined with financial education on social media and our award-winning customer service, we have … business is growing rapidly across both existing products and the planned launch of new initiatives. We aim to create a genuine feel-good factor when it comes to personal credit, and are looking for driven, analytical and creative individuals to help us achieve this goal. With your experience of developing unsecured retail credit risk strategies and building … best-in-class credit capabilities, you'll help drive the success of Monzo's borrowing propositions. You will be responsible for developing our credit and pricing strategies for one of our unsecured lending products (Flex, personal loans or overdrafts). You will work with colleagues across teams to make sure we are building profitable lending portfolios and amazing More ❯
Employment Type: Permanent
Salary: GBP Annual
Posted:

Model Validation Quantitative Analytics Manager | S3 | Model Risk

London, England, United Kingdom
Hybrid / WFH Options
ZipRecruiter
employer and a member of myGwork – the largest global platform for the + business community. Please do not contact the recruiter directly. Model Validation Quantitative Analytics Manager | S3 | Model Risk Country: United Kingdom Interested in part-time, job-share or flexible working? We want to talk to you! Join our community. Model Risk is a vital aspect of … managing risk that affects all areas of the bank, involving two model validation teams (Non-Retail and Retail) and a Model Risk control team. In this challenging role within the Non-Retail Internal Validation Team, you'll contribute to the model validation supporting business and regulatory requirements. You'll be integral in validating the models used in areas … such as our Banking Book, including IRRBB, Fair Valuation and Valuation in Resolution, the management of Market risks and Counterparty Credit risks, Securitisation and Funding programs (Valuation, SRT, Asset Swaps) and the models used to calculate Regulatory and Economic Capital, Stress Testing, and Liquidity risks. If you've performed a similar role previously, this could be the perfect opportunity More ❯
Posted:

Financial Risk Analytics - Analyst

London, England, United Kingdom
Hybrid / WFH Options
S&P Global
Join to apply for the Financial Risk Analytics - Analyst role at S&P Global Join to apply for the Financial Risk Analytics - Analyst role at S&P Global About The Role Grade Level (for internal use): 08 Job Title: Financial Risk Analytics Analyst About Us: At S&P Global, our Financial Risk Analytics team provides state … of-the-art products and solutions to help financial institutions measure and manage their counterparty credit risk, market risk, regulatory risk capital, and derivative valuation adjustments. Our innovative technology stack includes a fully vectorized pricing library, machine learning, and big data solutions, enabling scalability and precision. Our products are trusted by the largest tier-one banks … as well as smaller niche firms globally. Position Overview: We are seeking enthusiastic and detail-oriented analyst to join our innovative Financial Risk Analytics team in London. This is an exciting opportunity to contribute to the development and support of our advanced financial risk solutions, working with some of the latest technologies in the industry. Key Responsibilities Daily More ❯
Posted:

Data Scientist Lead

London, England, United Kingdom
Hybrid / WFH Options
ZipRecruiter
Data Scientist with a passion for Generative AI and Large Models (LLMs)? Join a leading financial institution's Technology team , working on cutting-edge AI-driven solutions to transform credit risk management and financial data analytics. The Role This is a development-focused position where you'll be responsible for data extraction, analysis, and model development using ML … training techniques . Experience deploying models in production environments. Nice to Have: Experience in GenAI/LLMs Familiarity with distributed computing tools (Hadoop, Hive, Spark). Background in banking, risk management, or capital markets . Why Join? This is a unique opportunity to work at the forefront of AI innovation in financial services . If you're ready to More ❯
Posted:

Quantitative Analyst

Birmingham, England, United Kingdom
Hybrid / WFH Options
Homes England
with regular travel to our London office. A bit about the role... We are looking for a talented and motivated Quantitative Analyst to join our innovative and technical financial risk modelling team. Working closely with our Hiring Manager, Richard Alderson (Assistant Director – Modelling and Stress Testing) and a team of expert analysts, you will play a key role in … delivering the advanced models and analysis that underpin Homes England’s understanding and management of financial risk. You’ll be part of a small, specialist group within the Quantitative Risk and Stress Testing team, responsible for developing and maintaining a suite of advanced quantitative models. These models are essential for understanding and managing the financial risk associated with … our portfolio. Your work will support a wide range of activities including credit risk modelling, IFRS 9, scenario analysis and forecasting, and stress testing. This is a rare opportunity to help shape how financial risk is modelled and reported within a national organisation with real social purpose. You will work with senior stakeholders and colleagues across the More ❯
Posted:

Quantitative Analyst

London, United Kingdom
Hybrid / WFH Options
Citigroup Inc
good analytical skills in order to filter, prioritize and validate potentially complex and dynamic material from multiple sources. What you'll do Develop analytics libraries used for pricing and risk-management Create, implement, and support quantitative models for the trading business leveraging a wide variety of mathematical and computer science methods and tools including hardware acceleration, advanced calculus, Programming … Monte Carlo Methods and partial differential equation solvers Collaborate closely with Traders, Structurers, and technology professionals Work in close partnership with control functions such as Legal, Compliance, Market and Credit Risk, Audit, Finance in order to ensure appropriate governance and control infrastructure Build a culture of responsible finance, good governance and supervision, expense discipline and ethics Appropriately assess … risk/reward of transactions when making business decisions; and ensure that all team members understand the need to do the same, demonstrating proper consideration for the firm's reputation. Be familiar with and adhere to Citi's Code of Conduct and the Plan of Supervision for Global Markets and Securities Services; and ensure that all team members understand More ❯
Employment Type: Permanent
Salary: GBP Annual
Posted:

GenAI Specialist

City of London, England, United Kingdom
Hybrid / WFH Options
McGregor Boyall
Scientist with a passion for Generative AI and Large Language Models (LLMs)? Join a leading financial institution's Technology team , working on cutting-edge AI-driven solutions to transform credit risk management and financial data analytics. The Role This is a development-focused position where you'll be responsible for data extraction, analysis, and model development using ML … training techniques . Experience deploying models in production environments. Nice to Have: Experience in GenAI/LLMs Familiarity with distributed computing tools (Hadoop, Hive, Spark). Background in banking, risk management, or capital markets . Why Join? This is a unique opportunity to work at the forefront of AI innovation in financial services . If you're ready to More ❯
Posted:

Credit Risk Analyst

London, England, United Kingdom
Hybrid / WFH Options
OFS
OFS Greater London, England, United Kingdom Location: United Kingdom (Hybrid) Contract Type: 6-Month Contract (Potential Extension) About the Role A leading Fintech Banking company is seeking a skilled Credit Risk Analyst for an initial 6-month contract, with the possibility of extension. This role will involve credit risk assessment, data analysis, and working with Python … and SQL to drive business insights. Key Responsibilities Conduct credit risk analysis to support business lending decisions Develop and optimize risk models using Python and SQL Work closely with stakeholders to provide data-driven insights Support regulatory and risk reporting Key Requirements Strong experience in Credit Risk Analysis Proficiency in Python and SQL Experience More ❯
Posted:

Senior Credit Portfolio Risk Manager

Hart, Yorkshire, United Kingdom
Hybrid / WFH Options
VARGO Group
Senior Sanctioner & Portfolio Risk Manager Job Profile: Senior Sanctioner & Portfolio Risk Manager Reports to: Head of Risk Staff Responsibilities: No line management responsibilities. Regular interaction with all regional teams across FSE. Location: Hybrid with at least 1 day per week in Fleet HO, and occasional travel to FSE regional teams. Status: 1.0 FTE (part-time may be … considered) Job Description Leading on Credit Risk Management for FSE's debt Funds. Responsible for delivery of FSE's Debt & Equity credit approvals. A member of approvers panel for Equity investment applications. Working with regional fund teams in the effective monitoring and reporting of the FSE debt and equity portfolios. Responsible for early identification of debt default … and collaboration in the recovery strategy activity. Development & management of key FSE debt/equity risk processes to ensure stakeholder requirements are met. Principal Accountabilities Credit Risk Management Credit sanctioning (2nd Line of Defence) including being FSE's representative at debt fund credit committees, plus overseeing the preparation and circulation of relevant papers and minutes More ❯
Employment Type: Permanent
Salary: GBP Annual
Posted:

Senior Credit Portfolio Risk Manager

Hartley Wintney, England, United Kingdom
Hybrid / WFH Options
VARGO Group
Senior Sanctioner & Portfolio Risk Manager Job Profile: Senior Sanctioner & Portfolio Risk Manager Reports to: Head of Risk Staff Responsibilities: No line management responsibilities. Regular interaction with all regional teams across FSE. Location: Hybrid with at least 1 day per week in Fleet HO, and occasional travel to FSE regional teams. Status: 1.0 FTE (part-time may be … considered) Job Description Leading on Credit Risk Management for FSE’s debt Funds. Responsible for delivery of FSE’s Debt & Equity credit approvals. A member of approvers panel for Equity investment applications. Working with regional fund teams in the effective monitoring and reporting of the FSE debt and equity portfolios. Responsible for early identification of debt default … and collaboration in the recovery strategy activity. Development & management of key FSE debt/equity risk processes to ensure stakeholder requirements are met. Principal Accountabilities Credit Risk Management Credit sanctioning (2nd Line of Defence) including being FSE’s representative at debt fund credit committees, plus overseeing the preparation and circulation of relevant papers and minutes More ❯
Posted:

Credit & Risk Insight Analyst

Leicester, England, United Kingdom
Hybrid / WFH Options
久塔
Social network you want to login/join with: Credit & Risk Insight Analyst, Leicester col-narrow-left Client: NEXT Location: Job Category: Other - EU work permit required: Yes col-narrow-right Job Reference: 711d02aa2419 Job Views: 32 Posted: 17.06.2025 Expiry Date: 01.08.2025 col-wide Job Description: Job Title: Credit & Risk Insight Analyst Location: Head Office, Leicestershire … day a week in the office) Salary: Up to £45,000 base plus bonus & benefits At Next we have a great opportunity for an analyst to join our growing Credit and Risk Analytics team within Finance. As a team, we are responsible for analysing and setting the lending strategy for all aspects of our £1.3B credit portfolio … and using data to drive insight on how we can optimise our customer proposition and business profit. You’ll be at the heart of understanding our 3 million credit customers and designing, testing and implementing strategy changes to help grow our business. This is a brilliant opportunity for someone who has great data analysis skills and a real curiosity More ❯
Posted:
Credit Risk
Work from Home
10th Percentile
£55,000
25th Percentile
£61,250
Median
£105,000
75th Percentile
£120,000
90th Percentile
£132,500