Permanent Credit Risk Jobs

26 to 50 of 482 Permanent Credit Risk Jobs

Fluent Mandarin Credit Analyst - Corporate Banking

City of London, London, United Kingdom
Barbara Houghton
It is essential that all candidates applying have 3 years UK work and Credit Risk Analysis experience,within Corporate Banking. Any candidates that do not match this criteria cannot be selected. Our client is looking for a Fluent Mandarin Credit Analyst - Corporate Banking to join their team … on a permanent basis. Role: To assist achieve departmental objectives through the provision of comprehensive credit application and business focused administrative support and to monitor the credit risk and exposure risk of the portfolio. Key Responsibilities (but not limited to): To act as the key credit partner to support achieve departmental objectives through the provision of comprehensive credit application and business focused administrative support. The primary role of the Credit Analyst team is to produce and present high-quality analysis and recommendations on a portfolio of corporate clients (including both annual reviews and more »
Employment Type: Permanent
Salary: £75,000
Posted:

Credit Risk Analyst

Market Harborough, England, United Kingdom
Hybrid / WFH Options
Paynt
this vision, we're seeking talented individuals to join us on our ambitious journey. What We Need We're on the lookout for a Credit Risk Analyst who will contribute to building new credit & loss mitigation strategies and manage exposures on our existing merchant portfolio. Your Responsibilities … Conduct ongoing merchant credit exposure evaluations Obtain and review relevant financial and non-financial information needed to complete credit risk assessments Communicate merchant assessments and credit risk decisions with internal and external stakeholders Monitor merchant balances, evaluate financial terms and consider potential risk indicators … prior to payouts Produce monthly portfolio reviews, highlighting credit exposure, negative balances and merchant profitability versus exposure analysis Develop and maintain applicable policies and procedures Escalating high exposure merchants to management Present monthly reports and credit risk findings to Paynt’s Finance and Commercial teams Periodic report more »
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Credit Risk Director (Infrastructure/ Dev Finance - Africa)

London Area, United Kingdom
Bruin
Leading Development Finance Institution seeking a Credit Director to lead their global Credit Risk team, from either London or Nairobi. Key Responsibilities Responsible for day-to-day administration of the credit function - resource allocation, planning of transaction approvals/reviews with the Regional Heads of the … investment team and ensuring that the credit review process is run efficiently while providing a constructive challenge to the investment team. Work with the Portfolio Director in ongoing development of the portfolio monitoring process and early warning indicator frameworks. Provide suitable guidance and inputs to credit managers and … credit analysts in underwriting of transactions (new business and existing portfolio). Provide inputs to the investment and credit teams on structuring of transactions. Ensure that the credit team is regularly interacting with and meeting counterparties such that desktop reviews can be complimented with suitable on-ground more »
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Principal Data Science-Consumer Credit Review

Illinois, United States
Discover Financial Services
being the reason millions of people find a brighter financial future with Discover. Job Description: This position within 2nd Line of Defense (under Corporate Risk Management) is responsible for providing analytics to support the execution of ongoing and periodic Consumer Credit Reviews across the life cycle of consumer … lending products covering credit cards, personal loans and home equity loans. Responsible for working closely with management to execute analytical and review initiatives to support the execution of annual Consumer Credit Review plan. Responsible for providing thought leadership & strategic thinking to solve business problems by leveraging techniques such … as segmentation, optimization, advanced analytics and machine learning. Creates Consumer Credit Review report to summarize analysis and issues identified based on assessment on asset quality and credit risk management practices. This position will closely monitor performance of credit strategies and asset quality to ensure goals are more »
Employment Type: Permanent
Salary: USD Annual
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Chief Risk Officer - PRA Risk exp from Commercial /Corporate Banking Experience Required

London, United Kingdom
Confidential
Chief Risk Officer - PRA Risk exp from Commercial/Corporate Banking Experience Required £280K plus excellent LTIP, bonus & benefits Hybrid (City of London) Ref: 4033G We are recruiting for our client, a UK Commercial Bank, looking to appoint a new CRO. As Board member and part of the … Executive Management Team you will have oversight for all Risk & Compliance related policies, systems and controls and ensuring that all necessary regulations and legislation are adhered to. Reporting directly to the CEO and Board, duties will include: Registered as SMF 4 you will have oversight for and management of … the senior control team including the Head of Risk, Head of Compliance SMF16 and MLRO SMF17. Responsibility for identifying, managing, monitoring and controlling risks and implementing risk control measures accordingly across the following key risk areas regulatory risk, prudential risk, people and systems risk more »
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Model Risk Management (IMM) - Vice President

London, United Kingdom
Confidential
United Kingdom-United Kingdom-London Education Level : Master's Degree Job Employment Type : Full Time Job Level : Vice President Description 3250378 #LI-VL1 Firm Risk Management (FRM) supports Morgan Stanley to achieve its business goals by partnering with business units across the Firm to realize efficient risk-adjusted … returns, acting as a strategic advisor to the Board and protecting the Firm from exposure to losses as a result of credit, market, liquidity, operational, model and other risks. This role resides within FRM's Model Risk Management Department which is dedicated to providing independent model risk … review and validation of models used by Morgan Stanley. These include derivative pricing models utilized across product areas including interest rates, currencies, commodities, equities, credit, and securitized products. This is in addition to oversight of models used to monitor counterparty credit risk (XVA/IMM), credit more »
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Model Risk Manager

United Kingdom
Confidential
Job Title: Model Risk Manager Job Purpose The Model Risk Manager is a member of the Model Risk Management Team at ICE Clear Europe ( the firm ), a second line risk function, which facilitates setting risk boundaries and provides independent risk oversight to the business. … It is proactive in identifying, assessing and independently escalating risks when necessary. ICE Clear Europe uses models to measure, analyze and monitor counterparty credit risks, market risk, credit risks and liquidity risks arising from its first line functions. The Model Risk Management team is responsible for … all aspects of financial risk as well as model risk, encompassing model validation, performance monitoring and governance. This new hire will be instrumental in the development and execution of analytics supporting financial risk management activities. The role requires both in-depth technical programming expertise and a good more »
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Model Risk Manager

London Area, United Kingdom
ICE
Job Title: Model Risk Manager Job Purpose The Model Risk Manager is a member of the Model Risk Management Team at ICE Clear Europe (‘the firm’), a second line risk function, which facilitates setting risk boundaries and provides independent risk oversight to the business. … It is proactive in identifying, assessing and independently escalating risks when necessary. ICE Clear Europe uses models to measure, analyze and monitor counterparty credit risks, market risk, credit risks and liquidity risks arising from its first line functions. The Model Risk Management team is responsible for … all aspects of financial risk as well as model risk, encompassing model validation, performance monitoring and governance. This new hire will be instrumental in the development and execution of analytics supporting financial risk management activities. The role requires both in-depth technical programming expertise and a good more »
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Head of Market Risk - LNG

London, United Kingdom
Confidential
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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Wholesale Credit Risk Modelling Senior Manager/Director

London Area, United Kingdom
Leadenhall Search & Selection
The company: Leadenhall Search & Selection are recruiting for a fast-growing credit risk analytics consultancy with a global presence. The organisation are growing their wholesale and corporate modelling practice which develop wholesale credit risk models for a range of corporate and wholesale banks. The role: Our … client is looking to bring in a wholesale modelling senior manager and technical director with significant experience in wholesale or corporate credit risk modelling. This person will have the opportunity to lead projects in wholesale IFRS 9 and IRB modelling. The person: 2:1 or above in a … relevant Bachelor's degree. 3+ years of hands on experience in wholesale credit risk modelling. Significant exposure to IRB/IFRS 9 guidelines. Proficiency in SAS or Python. Strong communicator with ability to interact with stakeholders of varying levels on a technical and non-technical basis. What’s more »
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Head of Credit Risk

London Area, United Kingdom
Harnham
HEAD OF CREDIT RISKCREDIT CARDS £115,000 LONDON This role offers the chance to own existing customer strategy within the Credit Card book for a growing FinTech business. The company are in an exciting time, with new product launches and re-vamps of existing strategy … paced and dynamic environment where you can really make a difference. THE ROLE Develop, implement and tweak existing customer lending strategies across the full Credit Card book Utilise credit risk models and wider customer data in order to drive profitability and growth Work on re-vamping a … range of credit strategies, including Credit Limit Increases and Decreases Manage a small team of analysts to own lending strategy and work on wider ad hoc analysis Work closely with senior stakeholders and investors to highlight risk trends and exposures, as well as providing strategic oversight to more »
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Credit Risk Modelling Manager

London Area, United Kingdom
Cornwallis Elt
Credit Risk Modelling Manager - Analytics, Assurance, IFRS9, IRB, Stress Testing, Audit, SAS, SQL, Consultancy – London/Remote - Permanent – up to £67,000 base + £5k cash allowance + bonus + benefits My client, a leading global consultancy are seeking a Credit Risk Analytics and Modelling Manager … to join their London based Audit and Assurance team on a permanent basis. You will be supporting their clients by improving and developing their credit measurement capabilities focusing on IFRS9, IRB and stress testing approaches across credit asset classes. You will also be providing credit measurement modelling … will support clients 1st line teams with new model builds, and enhancements of existing models, as well as support with improving and designing wider credit measurement eco systems. The ideal candidate would have: Strong credit modelling skills and experience in the development of credit risk models more »
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Credit Risk Data Scientist

London Area, United Kingdom
Hybrid / WFH Options
Intec Select
successful candidate will be supporting the entire lifecycle of data drives decisions and working closely with stakeholders. Role & Responsibilities: · Track the performance impact of credit policies & develop credit policies including scorecards. · Support the whole credit risk lifecycle & Investigate credit risk queries. · Support with any … regulatory requirements and queries which may occur. · Maintain existing credit risk reporting. · Support with peer reviews and also with existing stored procedures (MSSQL) · Work with the Data Engineer/s to help grow and develop the Data environment. Skills & Experience: · Proven track record for implementing models/scorecards. more »
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Credit Risk Modelling - Analytics, Assurance, IFRS9, IRB, Stress Testing, Audit, SQL, Consultancy

London, United Kingdom
Cornwallis Elt Ltd
Credit Risk Modelling - Analytics, Assurance, IFRS9, IRB, Stress Testing, Audit, SAS, SQL, Consultancy - Permanent - up to £67,000 base + £5k cash allowance + bonus + benefits My client, a leading global consultancy are seeking a Credit Risk Analytics and Modelling Manager to join their London … based Audit and Assurance team on a permanent basis. You will be supporting their clients by improving and developing their credit measurement capabilities focussing on IFRS9, IRB and stress testing approaches across credit asset classes. You will also be providing credit measurement modelling and analytics services to … will support clients 1st line teams with new model builds, and enhancements of existing models, as well as support with improving and designing wider credit measurement eco systems. The ideal candidate would have: Strong credit modelling skills and experience in the development of credit risk models more »
Employment Type: Permanent
Salary: GBP 67,000 Annual
Posted:

Deputy Head of Liquid Credit Risk - Asset Management

City Of London, England, United Kingdom
Hybrid / WFH Options
Miryco Consultants Ltd
Miryco Consultants are working with a prestigious asset manager to search for a senior credit risk professional to join as Deputy Head of Liquid Credit Risk that will assist in the development of analysts in the team and managing the liquid credit book. Responsibilities: Conduct … independent, fundamental credit research on a single name basis within an asset management set up. Manage, mentor and train a team of analysts. Provide input on overall credit strategy and business wide credit risk to senior executives and board committees. Conduct year-end salary reviews and … appraisals of analysts. Skills & Experience: 10+ years of credit research/analysis experience (a focus on investment grade credit preferred). Experience with managing/developing junior analysts. Background from rating agency preferred. Compensation : up to £200k + bonus Location : London (4 days in office, 1 day WFH more »
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Deputy Head of Credit

City of London, London, United Kingdom
cer Financial Ltd
Deputy Head of Credit City of London/Hybrid (3/2) Permanent £110,000 cer Financial are working alongside a warm service led, well structured international bank who are based in the City of London. They are seeking a Deputy Head of Credit to work with them … permanent basis. Portfolio consists of Real Estate both Commercial and residential alongside some more vanilla corporate lending. The Responsibilities of a Deputy Head of Credit Will Include: Establish structured end to end independent review process for Credit Approval Unit Establish key performance metrics for the Credit Approval … Unit. Objectively assess credit proposals, identifying key risk issues and researching a reasoned conclusion. Take ownership of reporting requirements internally and externally in relation to the monitoring of credit facilities. To organise and or participate in Credit Committee meetings to review and make recommendations relating to more »
Employment Type: Permanent
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Counterparty Risk Analyst – Assistant Vice President

London, United Kingdom
Confidential
Home Jobs Counterparty Risk Analyst Assistant Vice President Home Jobs Counterparty Risk Analyst Assistant Vice President BNP Paribas is a leading bank in Europe with an international reach. It has a presence in 73 countries, with more than 196,000 employees, including around 149,000 in Europe. The … Banking is a globally recognised leader offering capital markets, securities services, financing, treasury and advisory solutions. Business Area/Dept Overview 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 … 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. The team has also regular interaction with RISK Corporate, FIC ICAT and Global Markets CCR more »
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Senior Risk Analyst

Grimsby, England, United Kingdom
Hybrid / WFH Options
Advantage Finance
providers of specialist motor finance. From our HQ in Grimsby, we’re proud to employ around 210 people who have been putting conversation before credit scores since 1999, helping all sorts of people get moving by listening to their stories and understanding their lives. Our Core Values Our business … ourselves and true to each other. Honesty and integrity runs through everything that we do. The Role As a member of the Advantage Finance Credit Risk Team, your position as Senior Risk Analyst will allow you to provide analytical insight into customer behaviour, helping shape and enhance … the firms credit and affordability strategy. You’ll be leading the development, documentation and delivery of risk scorecards and affordability models, employing relevant statistical techniques across Credit Risk, Economic Crime and Collections & Recoveries. With access to a wide range of internal and external data sources such more »
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Ratings Associate (Project and Infrastructure finance)

London, United Kingdom
Confidential
every single requirement, please apply! You may be a perfect fit for this role or other open roles. Moody's is a global integrated risk assessment firm that empowers organizations to make better decisions. At Moody's, we're taking action. We're hiring diverse talent and providing underrepresented … and view our annual DE&I Report at moodys.com/diversity Description The Rating Associate will work with lead analysts in assigning and monitoring credit ratings; researching, drafting, and publishing research; and other activities. The Rating Associate will perform an evaluation of credit risk by integrating credit risk inputs prepared by internal and external parties. In conducting credit analysis for their assigned credits, transactions, or credit reviews. The Rating Associate are expected to participate in rating committee discussions and interact with issuers and other market participants, in collaboration with lead analysts. The Rating more »
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Credit Portfolio Officer - Vice President

London, United Kingdom
Confidential
Institutional Credit Management (ICM) works closely with our front line businesses to serve as a critical component of our First Line of defense for wholesale and counterparty credit risk management and also with our Independent Risk partners to ensure best-in-class risk and controls … as well as client responsiveness. Key responsibilities include portfolio analysis, documentation, risk identification, management, monitoring, administration, and stress testing. In this role, the ICM Portfolio Officer will be responsible for coordinating all aspects of Portfolio Management including Early Warning Credit Management, Risk Appetite and Limits Management, Portfolio … Health, Exceptions Management, and coordinate with other ICM teams, Risk Management, and business partners, and executing on the monitoring strategies and priorities, as well as contributing to the calibration of alerts, metrics and indicators for maximum efficacy. The PM is expected to produce recommendations to the portfolio owners that more »
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Vice President of Risk

London Area, United Kingdom
Storm2
VP of Risk 💼 Payments 🌎 Hybrid - London, UK Who they are: They are a fintech that keeps business moving by providing access to payments, credit, and WC through integration and credit decisions. They were founded 10+ years ago and have helped businesses receive over £20bn+ in b2b payments … as well as £3bn+ worth of credit through loans. They are backed by some of the biggest financial players in the game including the biggest bank in the UK. The Role: They are looking for a risk specialist to lead their embedded finance product. This role requires an … innovative mindset, with the ability to identify ways to make credit decisions, sourcing and utilising new data. You will build the core risk capabilities, from establishing risk to evaluating and designing their policies as you see fit. The role requires continuous learning and improvements to optimise credit more »
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Credit/Loan Documentation Officer

London, United Kingdom
Confidential
A Global bank based in London, currently seek a Mandarin speaking Credit Documentation Officer with a proven background in Credit documentation review Job Purpose Loan 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 requirements, internal policies more »
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Senior Data Scientist

Manchester, North West, United Kingdom
Hybrid / WFH Options
Intec Select
successful candidate will be supporting the entire lifecycle of data drives decisions and working closely with stakeholders. Role & Responsibilities: Track the performance impact of credit policies & develop credit policies including scorecards. Support the whole credit risk lifecycle & Investigate credit risk queries. Support with any … regulatory requirements and queries which may occur. Maintain existing credit risk reporting. Support with peer reviews and also with existing stored procedures (MSSQL) Work with the Data Engineer/s to help grow and develop the Data environment. Skills & Experience: Highly organised and has experience in running projects. more »
Employment Type: Permanent, Work From Home
Salary: £80,000
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Data Scientist

Manchester, Lancashire, United Kingdom
Hybrid / WFH Options
Confidential
successful candidate will be supporting the entire lifecycle of data drives decisions and working closely with stakeholders. Role & Responsibilities: Track the performance impact of credit policies & develop credit policies including scorecards. Support the whole credit risk lifecycle & Investigate credit risk queries. Support with any … regulatory requirements and queries which may occur. Maintain existing credit risk reporting. Support with peer reviews and also with existing stored procedures (MSSQL) Work with the Data Engineer/s to help grow and develop the Data environment. Skills & Experience: Highly organised and has experience in running projects. more »
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Credit Scorecard 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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Credit Risk
10th Percentile
£38,750
25th Percentile
£41,250
Median
£61,250
75th Percentile
£100,000
90th Percentile
£130,000