Credit Risk Jobs in England

51 to 75 of 94 Credit Risk Jobs in England

Fluent Mandarin Trade Finance Officer

City of London, London, United Kingdom
Barbara Houghton Associates
investigate and analyse the trade finance markets and the products To provide training on trade finance products and policies To review and develop the credit risk related policies and procedures To maintain a keen interest and awareness of market trends To establish and maintain credit risk … language skill in English (Chinese speaker preferred) Relevant products sales experience At least 3 years experiences in trade finance sector Sound and proven analytical, credit and risk skills Compliance and Regulation conversant. For more information on this role please contact Judith Webb quoting ref 16765JW. more »
Employment Type: Permanent
Salary: £47,000
Posted:

Renaissance Asset Finance - Senior Credit Underwriter

Basildon, Essex, South East, United Kingdom
Arbuthnot Latham & Co., Limited
Limited (AL), and subsequent regulatory approval, RAF became a wholly owned subsidiary of AL in April 2017. Job Purpose To evaluate, analyse, and approve credit proposals and revisions to underwrite structured finance deals and maintain the portfolio through a consistent level of credit risk assessment and ensure … adherence to all policies and procedures. Provide commercially balanced recommendations to colleagues where new business applications are above theSeniorUnderwriters credit mandate Assist with the preparation ofcredit papers for submission toAL/Credit Committee To be able to process high volumes of new business proposals and promote a high … level of service to RAFs brokers, suppliers, and customers within strict time deadlines To assist the Head of Credit in the achievement of critical KPIs for the asset finance sales support department To maintain an awareness of and compliance with legal processes and statutory requirements in new business with more »
Employment Type: Permanent
Posted:

Planning and Modelling Analyst

Milton Keynes, Buckinghamshire, South East, United Kingdom
Hybrid / WFH Options
Volkswagen Financial Services (UK) LTD
in addition to statutory bank holidays plus much more! You'll be responsible for a range of activities critical to the delivery of the Risk Management strategy including bespoke data modelling of the VWFS portfolio. As well as regular contact with Head Office, you'll work with senior colleagues … supporting rationale Design, construction and implementation of financial modelling techniques that is transparent, auditable, and flexible to deliver both regular and bespoke management information. Risk models should be compliant with the latest accounting regulations such as; IFRS 9 and must be able to withstand scrutiny of external audit. You … discuss advanced model building with external consultants Responsibility for used vehicle disposal profit/loss and volume forecasts that are used by Finance and Risk Analysis & Insight Production of detailed portfolio analysis, including the production of residual value performance analysis, settlement analysis, and voluntary termination analysis Providing detailed and more »
Employment Type: Permanent, Work From Home
Salary: £45,000
Posted:

Treasury Management Analyst (FX & Interest Rate risk)

West London, London, United Kingdom
Hybrid / WFH Options
Centrica
Treasury Management Analyst (FX & Interest Rate Risk) Centrica Energy is the trading arm of Centrica. We trade LNG, gas, power and energy attributes - and connect independent producers, suppliers and corporate off-takers in the wholesale energy markets. We are recruiting for a Treasury Management Analyst to work within our … London office, close to Marble Arch, with the team typically coming in 3 days per week. The Treasury team: The risks: Treasury ensures its risk framework continues to evolve with the ongoing demands of the business. Our risk environment encompasses: Liquidity demand: understanding the current, forecast and stressed … liquidity requirements to ensure we plan and are proactive FX risk management: understanding where non functional currency exposures reside, transfer volatility away from trading teams, hedge in good time and understand any residual impacts on PnL with a view to reduction where possible Interest rate management: in a changing more »
Employment Type: Contract, Work From Home
Posted:

Risk Analyst

London Area, United Kingdom
Hybrid / WFH Options
Burns Sheehan
Risk Analyst - Leading European Fintech | £40,000 - £55,000 (Hybrid Working - London) Are you a data-driven professional with an interest in Risk Management? Here at Burns Sheehan, we have partnered with a European leading FinTech in the search of a talented Risk Analyst to join their … Portfolio Risk Team. About the Company: This forward-thinking company empowers small businesses with fast, flexible finance solutions to manage cash flow and seize opportunities. Since its launch in 2012, it has provided billions in funding to over 100,000 businesses. Their mission: To finance 1 million businesses, combining … cutting-edge technology, data science, and exceptional customer service. The Role: As a Risk Analyst, you will play a critical role in managing portfolio risk and supporting strategic growth, with Key responsibilities including: Analytics and Portfolio Management: Leading efforts to assess lending book risk, inform strategic decisions more »
Posted:

Senior Credit Risk Analyst - Infrastructure

London Area, United Kingdom
The FISER Group
We are partnered with a global investment manager as they organically grow their private debt business. The role of the senior credit risk analyst is to provide oversight on new origination and and existing infrastructure portfolios. What you'll do: Support origination in targeting investments, structuring solutions and … of infra debt transactions for Investment Committee approvals. Interact with internal and external client meetings, we require a commercial individual who can explain the risk drivers impacting infra books. Keep abreast of sector trends and risk factors that could impact the book. What we're looking for: Experience … financial institution or rating agency setting. Strong knowledge of rating methodologies used by ECAI and ability to practically apply across range of investments. Solid risk base with understanding of key investment/commercial risks in infrastructure investment across a broad range of infrastructure asset types. more »
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Data Warehouse Developer

Wath Upon Dearne, England, United Kingdom
Optimise by Recruitment
partnered with one of the most successful UK lenders in their market. They are a dynamic financial service business that provides innovative solutions in credit risk assessment and sustainable finance. This newly created role of Data Warehouse Developer reports to the Head of IT and is responsible for … and ad hoc queries from end-users. Requirements: Minimum 3-5 years’ experience developing and implementing Data Warehouse solutions within financial services (ideally Consumer Credit). Proven experience in data warehousing, data modelling, and database design. Proficiency in SQL (SSMS) and experience with ETL tools (e.g., SSIS, SAS DI … governance and data security best practices. What We Offer: Competitive annual salary up to £40,000, potentially up to £60,000 if combined with Credit Risk Analyst role. Free parking and a company pension. Continuous learning program and employee assistance program. Access to discounts with leading high street more »
Posted:

SQL Developer

Sheffield, South Yorkshire, United Kingdom
Corecom Consulting
ETL packages to feed into their on-prem Database, with a view to eventually implementing a Data Warehouse. You'll work closely with the Credit Risk function, supporting their data sources so that they can complete complex models and forecasts. Meaning you will be at the forefront of … both the Data and Credit Risk Strategies and eventually build out your data team. It's a fast growing business, focused in consumer finance and winning multiple new contracts on a regular basis. Meaning they are in a very strong position to continue their growth, also aiding in more »
Employment Type: Permanent
Salary: £30000 - £40000/annum
Posted:

Risk Manager: buy-to-let / mortgages

England, United Kingdom
Hybrid / WFH Options
Kite Human Capital
Risk Manager: buy-to-let/mortgages Credit/Liquidity Risk Manager required to join a rapidly expanding building society with offices across the UK and Channel Islands. The role could be either majority home based, or based in one of the UK offices. We are searching … for risk managers with experience in consumer finance, with a preference for the buy-to-let or mortgager markets. Required experience: Credit Risk or Liquidity Risk in a consumer finance environment Kite Human Capital – Hire Better We are unashamedly focused on working with only the best more »
Posted:

Credit Controller - SAP

Stevenage, England, United Kingdom
Hybrid / WFH Options
Hays Business Support
Your new company Hays are working with a local business in the Stevenage area who are currently recruiting an experienced Credit Controller reporting in to the Credit Manager. Your new role This role works closely with internal stakeholders to ensure that sales and cash receipts are maximised and … mitigate credit risk/bad debts through the proactive use of your skills and the functionality of SAP.Key duties will include: Responsible for cash collection on a Corporate International ledger in excess of 150 customers with an AR balance. Opening new accounts within SLA's. Credit assessment … using credit reference agency reports, credit Insurers and companies house financial statements. Review and authorise credit limits for new and existing customers. Cash allocation and account reconciliations. Ensure all targets are achieved in line with management directives/goals. Work closely with sales to close down disputes more »
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Head of Global Subsidiaries, Europe & Americas

London, England, United Kingdom
Jobleads-UK
long-term client relationships, identify and manage client conflicts in a transparent manner Manage client data integrity, implement policies and control standards set by risk control owners and/or Group policy owners, including credit risk exposure arising from client lending activity Lead a multi-location team … are suitably skilled and qualified and confident in mitigating risks Working jointly with GS Global Head, country heads and Client Coverage heads, deploy the risk decision framework within agreed risk tolerance and appetite. Comply with regulations, escalating material risk in accordance with the Group’s risk … with, in letter and spirit, all applicable laws, regulations, guidelines and the Group Code of Conduct. Effectively and collaboratively identify, escalate, mitigate and resolve risk, conduct and compliance matters. Qualifications Degree educated in a relevant business field and/or recognised and relevant client relationship experience/networks within more »
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Financial Controller

Leeds, England, United Kingdom
Hybrid / WFH Options
Abstract Group
the help of innovation-led enterprise solutions, unlocking the true value of people, data, and processes. Our solutions enable organisations to improve performance, reduce risk, increase sustainability, and drive out inefficiencies. Our pedigree centres on value creation through technology strategy development, product roadmap acceleration and ensuring scalability of underpinning … you will be a key member of the senior leadership team, responsible for overseeing all aspects of financial management, including management accounts, payroll, and credit control. You will ensure accurate financial reporting and financial planning, working closely with the CEO to facilitate the organisation's growth plans. RESPONSIBILTIES Financial … Conducting variance analysis and financial forecasting to identify areas of opportunity or concern and support strategic decision-making by senior leadership. Financial Compliance and Risk Management: Ensuring compliance with statutory regulations, accounting principles, and internal controls, proactively identifying and mitigating financial risks. Collaborating with external auditors and regulatory authorities more »
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Model Validation

London Area, United Kingdom
Consulting Company
Role Overview: The candidate will support in validating models used in IRB (Basel/Capital), IFRS9 Impairment, and Business Model Risk Management. Key Responsibilities: Independent Review: Conduct independent reviews and challenges of models. Technical Analysis: Perform technical and data analyses, benchmarking, and build challenger models if necessary. Reporting: Produce … the team lead in liaising with model owners, provide high-quality input to modellers, ensure open communication with stakeholders, and uphold the Group Model Risk Policy. Decision-making: Independently manage projects, interpret deviations, take corrective actions, measure KPIs, and adhere to timelines. Person Specification: Quantitative Skills: Expertise in model … validation and risk management, with knowledge of regulatory requirements. Qualitative Skills: Strong leadership and influencing abilities. Essential Skills: Education: Honours degree, Masters, or PhD in a quantitative subject (Mathematics, Physics, Operational Research, Economics, or Finance). Coding: Significant experience in R/SQL/C++/Python, including handling more »
Posted:

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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Large Exposure Manager

London Area, United Kingdom
Hybrid / WFH Options
HSBC
and controls. Analysing the process and data, proactively identifying areas improvements. Working with technical, finance and business stakeholders to improve processes. Understanding HSBC's risk and finance systems to ensure the correct data within the reports. Supporting the rest of the team by working on alternative projects if required. … between UK sites, primarily London and Birmingham, more frequent during the initial training period. Experience working in relevant market/context, i.e., financial services, credit risk environment or finance is desirable but not essential. Role relevant qualifications, i.e., degree level with high level of numeracy is desirable but … not essential. Past working experience in a relevant role, i.e., reporting role, analyst, risk management, finance or treasury is desirable but not essential. Experience of using relevant software and programming languages, i.e., SAS is desirable but not essential, SQL, Python or R experience would also be useful within the more »
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Accounts Receivable German Speaker

Frimley, England, United Kingdom
SC Johnson Ltd
Accounts Receivable (AR)/Credit Control Analyst – German Speaker Location: Frimley, Surrey Function: EMEA Shared Service Centre Here at SC Johnson Ltd , we have an opportunity for someone who wants start or build their career as a Accounts Receivable – German Speaker inour team based in Frimley . You will … on a full-time, permanent basis. Our EMEA Shared Service Centre based in the UK has around 250 people across 3 different functions - Finance, Credit & Collections and Supply Chain. We support over 20 countries and speak around 40 different languages. The SSC is just one of 5 different SCJ … commercial businesses across the EMEA region with their Collections, Resolutions, Cash Allocation and Pricing requirements. This role works within the Customer Financial Services department (Credit Control) to improve SCJ's financial performance by managing collections and credit management operations, reducing open deductions, speeding up validation of claims and more »
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Senior Actuary

Potters Bar, England, United Kingdom
Canada Life Group Ltd (The)
customers. Job Purpose This position will be responsible for Independent Validation of Canada Life's Internal Model and provides second line oversight of model risk at Canada Life UK. - A key role that contributes to the CRO's Opinion of the ongoing appropriateness of the Internal Model. - 2nd line … Internal Model component reviews including market and credit risk models, longevity, catastrophe, capital (re)structuring. - (Non-PIM) Model Risk Management and independent model validations. - contribute to the wider delivery of the CLL Risk Team's plan. - contribute to Internal Model oversight at a CLG-level. - maintain more »
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Mid/Senior Software Engineer

Manchester, England, United Kingdom
Hybrid / WFH Options
Burns Sheehan
A SaaS, Data Driven modelled Business Intelligence business which focuses on working on behalf of clients in 5 key areas, some of which are Credit Risk, Compliance and Monitoring. They identify growth, help navigate global compliance risk and predict insolvency. They have 1000+ clients including some of 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 activities … 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 not more »
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Data Governance Director

England, United Kingdom
Leadenhall Search & Selection
in a consultancy is an added benefit. Must have BCBS knowledge. Must have technical knowledge in drafting frameworks and policies and an understanding of risk/regulation. Experience in credit risk, modelling or insurance is desirable. Excellent communication skills. Benefits include but are not limited to: Competitive more »
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Lead Data Scientist

London Area, United Kingdom
WeDo
objectives and active contribution to the overarching team strategy. The chosen candidate will integrate into the broader data team and be integrated within our risk management team. Responsibilities: Fosters collaborative work culture with psychological safety at its heart. Manage through clear objectives and providing appropriate context (rather than task … a broad understanding of how to utilise models to optimise business logic for profitability, loss rates, approval rate, fraud rates and other KPIs. Previous credit risk management experience highly valued but not essential. Technical Capabilities: Strong proficiency using Python and attached libraries. Experience in data manipulation and analysis more »
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Lead Data Scientist

London Area, United Kingdom
Hybrid / WFH Options
Synchro
mission to become a disruptor in the FinTech space. The successful candidate will integrate into the broader data team and be integrated within the risk management team. What are we looking for… At our core, we value collaboration and psychological safety. Join us and thrive in an environment! Objectives … to see the big picture and dive into details as needed. Communication: Ability to communicate concisely, tailoring details to what people need to know. Risk Management Experience: Previous experience in credit risk management is highly valued but not essential. Get in touch with Joely Callaghan directly at more »
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Senior Analyst, Corporate Banking, Business Development (Fluency in French is essential)

London Area, United Kingdom
The Curve Group
advising on UK real estate investments. Key Responsibilities: This role is to support the Corporate Banking Unit. The Bank requires a graduate with strong credit, financial analysis and Front Office experience, with French language being a crucial requirement. You will be supporting the Relationship Managers (RMs) and Head in … 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 not more »
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Product Manager - Identity

Leeds, England, United Kingdom
LexisNexis Risk Solutions
About the Business: LexisNexis Risk Solutions is the essential partner in the assessment of risk. Within our Business Services vertical, we offer a multitude of solutions focused on helping businesses of all sizes drive higher revenue growth, maximize operational efficiencies, and improve customer experience. Our solutions help our customers … solve difficult problems in the areas of Anti-Money Laundering/Counter Terrorist Financing, Identity Authentication & Verification, Fraud and Credit Risk mitigation and Customer Data Management. You can learn more about LexisNexis Risk at the link below, risk.lexisnexis.com About our Team: The RiskNarrative team operates as a more »
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Deputy Head of Treasury

London Area, United Kingdom
Hybrid / WFH Options
JSS Search
maintained in line with strategic and prudential requirements. Supervise a small team of Treasury Dealers, who are responsible for the Bank’s Interest rate risk strategy within defined parameters Deputise for the Head of Treasury, particularly regarding fixed income investment and trading and implementing strategies in a profitable manner. … funding partners Provide technical support to ALCO for effective decision making Oversee day to day trading activity, managing the Market, liquidity, interest rate, and credit risk of all trade related activity Manage the Bank’s Interest Rate and Foreign Exchange Risks Ascertain the funding requirements of the various … skills A minimum of 8 years working in Treasury in Financial Services, ideally in banking Extensive knowledge of regulatory frameworks. Significant knowledge of trading, risk management, ALM, fixed income and derivatives. Professional qualifications (ACT, CFA, certBALM, or otherwise) would also be beneficial This role will be based in the more »
Posted:
Credit Risk
England
10th Percentile
£40,800
25th Percentile
£44,563
Median
£65,000
75th Percentile
£103,438
90th Percentile
£130,375