Senior Credit RiskAnalyst £60,000 – £80,000 + up to 15% bonus London (Hybrid Working) An exciting opportunity has arisen 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 … 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, pricing models, and underwriting strategies Generate actionable, data-led insights to support optimisation of risk-adjusted returns Collaborate cross-functionally with product, finance, compliance, and operations teams to align risk management with business strategy Your Skills and Experience Degree in Finance, Economics, Statistics, Mathematics or related field Proficiency in SQL Strong knowledge of credit riskMore ❯
City of London, London, United Kingdom Hybrid / WFH Options
Harnham
Senior Credit RiskAnalyst £60,000 – £80,000 + up to 15% bonus London (Hybrid Working) An exciting opportunity has arisen 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 … 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, pricing models, and underwriting strategies Generate actionable, data-led insights to support optimisation of risk-adjusted returns Collaborate cross-functionally with product, finance, compliance, and operations teams to align risk management with business strategy Your Skills and Experience Degree in Finance, Economics, Statistics, Mathematics or related field Proficiency in SQL Strong knowledge of credit riskMore ❯
and Takepayments. Our software platform and APIs enable our partners to offer flexible financing products, in their desired branding, to their merchant base. With YouLend's AI-driven credit risk assessment solutions, more merchants and SMEs than ever can receive fast, flexible and affordable funding. We operate in 9+ geographies across the UK, EU and the US. We believe … will be delivered by customer-oriented tech companies that embed financing in their customer journeys, and we are building the solutions that will power that future. The Role: A Senior Credit RiskAnalyst is responsible for developing and managing analytical tools to evaluate and monitor credit risk across portfolios, ensuring effective risk management strategies. Risk … analysis to assess portfolio-level credit risk. Portfolio Monitoring : Identifying trends, risks, and opportunities across customer segments using advanced analytics. Policy and Strategy Development : Supporting the creation of credit risk policies, underwriting strategies, and pricing. Data-Driven Insights : Delivering actionable insights and recommendations to optimise risk-adjusted returns. Stakeholder Collaboration : Working with internal teams, including operations, product, finance More ❯
prevention, and system outages. Conduct scenario analysis and stress testing to evaluate the organization's preparedness for operational disruptions. Collaborate with functional teams to design, implement, and monitor operational risk controls, ensuring alignment with the organization's risk appetite and regulatory requirements. Support the development of mitigation plans for key risks, ensuring practical solutions are implemented effectively. Develop … and maintain Key Risk Indicators (KRIs) to track operational risks and provide actionable insights to senior management. Prepare detailed risk reports for senior leadership, risk committees, and regulatory bodies, highlighting risk trends, control effectiveness, and areas requiring attention. Maintain the risk register, ensuring it is comprehensive, up-to-date, and aligned with the … organization's risk framework. Investigate operational risk incidents, identify root causes, and provide recommendations to prevent recurrence. Lead post-incident reviews and ensure lessons learned are integrated into processes and controls. Monitor and ensure timely resolution of risk-related issues, escalating where necessary. Support regular reviews of the operational risk management framework, ensuring alignment with industry More ❯
Sr. Business Analyst Manager, Payment Risk Operations Have you ever thought about what it takes to detect and prevent fraudulent activity among hundreds of millions of e-commerce transactions across the globe? What would you do to increase trust in an online marketplace where millions of buyers and sellers transact? How would you build systems that evolve over … time to proactively identify and neutralize new and emerging fraud threats? Our mission in Buyer Risk Prevention is to make Amazon the safest place to transact online. Buyer Risk Prevention safeguards every financial transaction across all Amazon sites, while striving to ensure that these efforts are transparent to our legitimate customers. As such, Buyer Risk Prevention designs … and builds the software systems, risk models and operational processes that minimize risk and maximize trust in Have you ever thought about what it takes to detect and prevent fraudulent activity among hundreds of millions of e-commerce transactions across the globe? What would you do to increase trust in an online marketplace where millions of buyers and More ❯
Senior Credit Risk Systems Analyst- Decisioning 9 Month Contract Key Responsibilities: Build and maintain leading automated decisioning tools and credit risk models. Test and document all decisioning system changes, ensuring a high standard of test practices are implemented and adhered to. Identification and investigation including data analysis required to support change or incident management. Support delivery … of automated decision operational procedures required dependent on outcome of the automated decision. Ensure all credit risk policies and strategies are clearly documented and maintained Work with stakeholders across the business, as well as external suppliers, to define business change requirements and provide challenge where necessary Key Requirements: Previous experience working in a decisioning background and maintaining a decisioning More ❯
Senior Credit Risk Systems Analyst- Decisioning 9 Month Contract Key Responsibilities: Build and maintain leading automated decisioning tools and credit risk models. Test and document all decisioning system changes, ensuring a high standard of test practices are implemented and adhered to. Identification and investigation including data analysis required to support change or incident management. Support delivery … of automated decision operational procedures required dependent on outcome of the automated decision. Ensure all credit risk policies and strategies are clearly documented and maintained Work with stakeholders across the business, as well as external suppliers, to define business change requirements and provide challenge where necessary Key Requirements: Previous experience working in a decisioning background and maintaining a decisioning More ❯
Senior Cyber RiskAnalyst We are seeking a SeniorAnalyst with a robust background in cybersecurity risk assessment and internal security audits, complemented by broad technical expertise across modern IT environments. This role requires a deep understanding of desktops, mobile devices, networks, operating systems, and cloud services, as well as the ability to effectively … The ideal candidate will possess advanced analytical skills, relevant certifications, and experience working cross-functionally-including direct client engagement-to support regulatory and business objectives. Primary Responsibilities Conduct comprehensive risk assessments of information systems, applications, business processes, and underlying technical infrastructure-including desktops, phones, network devices, operating systems (Windows, macOS, Linux), and cloud platforms (AWS, Azure, GCP). Collaborate … closely with compliance, legal, IT, business stakeholders, and external clients to understand operational requirements, regulatory obligations, and risk tolerance. Serve as a technical point of contact for clients, addressing and managing their technical requirements, security concerns, and risk management needs. Clearly document identified risks and work with stakeholders to propose, evaluate, and track compensating controls that address security More ❯
a high-energy and connected culture, while benefiting from continuous learning opportunities, a supportive community which is proud to serve our mission, and comprehensive benefits. Your Mission The Customer Risk Monitoring team is responsible for implementing and maintaining the analytical intelligence that protects Teya and its customers from financial risks, including fraud, money laundering, and terrorism financing. Our goal … is to minimise financial losses and risk exposure while supporting and maintaining our customers' trust and ensuring compliance with regulatory requirements. We work closely with the Operations team to investigate suspicious activities and collaborate cross-functionally with Compliance, Risk, Platform Engineering and product leaders to build and continuously improve the intelligence powering our detection and monitoring systems. Job … used to detect financial crime, balancing efficacy with operational efficiency to reduce false positives, investigation time, and customer friction Deliver actionable insights that directly improve detection rates, uncover new risk patterns, and inform prevention strategies Act as a bridge between data and the business, collaborating closely with Operations, Compliance, Engineering, and Product teams to shape and prioritise analytical initiatives More ❯
services including data management, catastrophe modelling, exposure management, financial modelling, and bespoke analytics. The focus of our service is to provide Brokers with a deeper understanding of their clients' risk from natural and man-made perils such as windstorm, earthquake, severe convective storm, flood and wildfire. On a day-to-day basis, the successful candidate will be involved in … expected to perform as a part of the team, and your role, you will: Managing, auditing, processing and analysing portfolio data Preparation of data for modelling Quantify the catastrophe risk using vendor catastrophe models Operation of geo-visualisation tools including Arc GIS Contribute to the Global Markets Direct and Fac Analytics service offering development Understand and evaluate the impact … the outputs produced Communicate results effectively to all stakeholders (i.e. cat modellers/brokers/clients/(re)insurers) Work closely with all stakeholders throughout all aspects of the risk quantification process Real-time reporting and analysis of natural disasters and supporting clients' post-event Support junior members in the team through training and advice. Qualifications The Requirements Skills More ❯
initiatives and the recent investment by Al Gore's Generation Fund will propel us further and faster. There has never been a more important moment to join our credit risk team. The energy sector is going through a period of once-in-a-generation volatility. Businesses and households are facing higher energy prices than they ever have before. For … these reasons, we are looking to add to our credit risk team with this new role. This team is central to our efforts to support customers struggling with their bills. We are unique because we combine several skills and mindsets: 1 . Data analytics is our core skillset. Everyone in the team is very strong in this area. … . Bonus skills include: Familiarity with Git. Experience with data visualization tools (Tableau, Looker, PowerBI, or equivalent). Knowledge of DBT. 2-5 years of experience in consumer credit risk or collections within financial services, utilities, or telecommunications industries. Why you'll love it here Salary transparency: Ask us! We prefer to discuss salary during a call to match More ❯
services including data management, catastrophe modelling, exposure management, financial modelling, and bespoke analytics. The focus of our service is to provide Brokers with a deeper understanding of their clients' risk from natural and man-made perils such as windstorm, earthquake, severe convective storm, flood and wildfire. On a day-to-day basis, the successful candidate will be involved in … expected to perform as a part of the team, and your role, you will: Managing, auditing, processing and analysing portfolio data Preparation of data for modelling Quantify the catastrophe risk using vendor catastrophe models Operation of geo-visualisation tools including Arc GIS Contribute to the Global Markets Direct and Fac Analytics service offering development Understand and evaluate the impact … the outputs produced Communicate results effectively to all stakeholders (i.e. cat modellers/brokers/clients/(re)insurers) Work closely with all stakeholders throughout all aspects of the risk quantification process Real-time reporting and analysis of natural disasters and supporting clients' post-event Support junior members in the team through training and advice. Qualifications The Requirements Skills More ❯
Senior Investment RiskAnalyst - Perm Location: London, United Kingdom Hybrid Working Model Salary: Up to £90,000 + Bonus Paritas is aligned with a leading & global asset management client who is seeking a SeniorRiskAnalyst to support across multi-strategy, multi-asset portfolios. The nature of the role demands a quantitative mindset, programming … ability, and good knowledge of factor models and derivatives. You will possess good communication and interpersonal skills, a good understanding of risk models and different investment processes, combined with self-sufficiency and initiatives. You will: Design processes to ensure that accurate risk analytics are available on a timely basis. Analyse risk attribution reports for use by the … Portfolio Managers, Head's of, Asset Class Heads, and other interested users of the data, such as senior management, board directors, marketing, and compliance. Work with Portfolio Managers in regular risk review meetings, as well as off-cycle focus discussions, covering all aspects of investment risk, performance and other relevant metrics to ensure portfolios are managed in More ❯
City of London, London, United Kingdom Hybrid / WFH Options
Paritas Recruitment
Senior Investment RiskAnalyst - Perm Location: London, United Kingdom Hybrid Working Model Salary: Up to £90,000 + Bonus Paritas is aligned with a leading & global asset management client who is seeking a SeniorRiskAnalyst to support across multi-strategy, multi-asset portfolios. The nature of the role demands a quantitative mindset, programming … ability, and good knowledge of factor models and derivatives. You will possess good communication and interpersonal skills, a good understanding of risk models and different investment processes, combined with self-sufficiency and initiatives. You will: Design processes to ensure that accurate risk analytics are available on a timely basis. Analyse risk attribution reports for use by the … Portfolio Managers, Head's of, Asset Class Heads, and other interested users of the data, such as senior management, board directors, marketing, and compliance. Work with Portfolio Managers in regular risk review meetings, as well as off-cycle focus discussions, covering all aspects of investment risk, performance and other relevant metrics to ensure portfolios are managed in More ❯
Job Title: SeniorRisk & Integration Business Analyst - VP Location: London/Hybrid Contract Type: 6 months Daily Rate: from £600 via Umbrella Company Join Our Dynamic Team! Are you a seasoned Business Analyst with a flair for risk management and integration? Our client, a leading global financial institution, is looking for a SeniorRisk & Integration Business Analyst to join their team for an exciting 6-month contract! This role offers you the chance to engage in a Derivatives Integration Programme within the Risk Management Department. What You'll Do: Lead with Impact: Spearhead multiple workstreams, analysing current processes and defining future operating models across various Risk entities. Collaborative Engagement: Work … closely with key stakeholders across Risk, Compliance, IT, Operations, and Finance to ensure seamless deliverables. Document with Precision: Create detailed business requirements and traceability matrices to support IT design and implementation. Champion Change: Facilitate workshops, communicate recommendations, and secure stakeholder buy-in for the integrated target state. Key Accountabilities: Analyse "as is" processes and document "to be" outputs. Provide More ❯
processes to detect weaknesses or vulnerabilities and drive improvements. Conduct scenario analysis and stress testing to evaluate organizational preparedness for disruptions and assess capital requirements. Prepare and deliver detailed risk reports regularly and as needed for senior leadership, risk committees, and regulatory bodies, highlighting trends and control effectiveness. Maintain the risk register, ensuring it is comprehensive … and aligned with the risk framework. Support reviews of the operational risk management framework to ensure industry and regulatory compliance. Assist in implementing and maintaining the governance framework to ensure regulatory and internal policy compliance. Requirements 3-5 years' experience in a 1st or 2nd line role within financial services, focusing on Operational Risk. Strong relationship-building skills. … Excellent written and verbal communication skills, with proficiency in Microsoft Office tools. Understanding of risk assessment methodologies and frameworks. Knowledge of Operational Risk capital requirement calculations or modeling. Excellent stakeholder management skills, with the ability to liaise across risk, compliance, and IT teams. What you will get in return: Competitive Salary: We reward your skills and talents More ❯
SENIOR CREDIT RISK STRATEGY ANALYST - FINTECH £80,000 LONDON This FinTech have been through significant growth in the past few years and are looking to continue on this journey. They are a dynamic and fast-paced lender and are seeking a driven and experienced individual to join their team in developing their lending strategies. This role is … CRA and wider customer data to enhance business performance YOUR SKILLS AND EXPERIENCE : Essential to have experience within consumer lending Strong experience in developing and leading implementation of credit risk strategies is essential SQL or Python experience is essential Experience working with SME or business lending is highly desirable SALARY AND BENEFITS Up to £80,000 base salary Bonus More ❯
SENIOR CREDIT RISK STRATEGY ANALYST - FINTECH £80,000 LONDON This FinTech have been through significant growth in the past few years and are looking to continue on this journey. They are a dynamic and fast-paced lender and are seeking a driven and experienced individual to join their team in developing their lending strategies. This role is … CRA and wider customer data to enhance business performance YOUR SKILLS AND EXPERIENCE : Essential to have experience within consumer lending Strong experience in developing and leading implementation of credit risk strategies is essential SQL or Python experience is essential Experience working with SME or business lending is highly desirable SALARY AND BENEFITS Up to £80,000 base salary Bonus More ❯
SENIOR CREDIT RISK STRATEGY ANALYST - FINTECH £80,000 LONDON This FinTech have been through significant growth in the past few years and are looking to continue on this journey. They are a dynamic and fast-paced lender and are seeking a driven and experienced individual to join their team in developing their lending strategies. This role is … CRA and wider customer data to enhance business performance YOUR SKILLS AND EXPERIENCE : Essential to have experience within consumer lending Strong experience in developing and leading implementation of credit risk strategies is essential SQL or Python experience is essential Experience working with SME or business lending is highly desirable SALARY AND BENEFITS Up to £80,000 base salary Bonus More ❯
SENIOR CREDIT RISK STRATEGY ANALYST - FINTECH £80,000 LONDON This FinTech have been through significant growth in the past few years and are looking to continue on this journey. They are a dynamic and fast-paced lender and are seeking a driven and experienced individual to join their team in developing their lending strategies. This role is … CRA and wider customer data to enhance business performance YOUR SKILLS AND EXPERIENCE : Essential to have experience within consumer lending Strong experience in developing and leading implementation of credit risk strategies is essential SQL or Python experience is essential Experience working with SME or business lending is highly desirable SALARY AND BENEFITS Up to £80,000 base salary Bonus More ❯
Senior Data Analyst - Market Risk, Trade Data sought by leading investment bank based in Belfast. Inside IR35 - Min 3 days a week on site in Belfast The bank is looking for a seasoned business analyst with experience and knowledge in trade population control framework and data quality controls within the 1LoD/2LoD. Primary Responsibilities: Support … the Program Initiative lead(s) to drive execution of the Price Risk Data regulatory book of work through to business adoption Support control enhancements related to trade population completeness, critical data element (CDE) data quality validations Assist with the definition of 1LoD controls to improve data quality and other monitoring controls Document business requirements to enable the implementation of … flows and controls and ensure these are addressed in the defined target state solution with robust controls Support strategy execution against the designed target-state control-framework for Price Risk, including business analysis, data analysis, practical testing and implementation Monitor and oversight over trade and CDE data controls, including data quality metrics Support in driving standardized and consistent mechanisms More ❯
Global Investment bank in London as a key member of the FICC Qu View job & apply Job type: Permanent A high profile investment fund is seeking an experienced investment risk professional to join its View job & apply Senior Quantitative Researcher - HFT Location: International Job type: Permanent Sector: Asset Management & Funds Join a globally renowned high-frequency trading firm … highly respected, multi-strategy hedge View job & apply Location: London Salary: up to £70,000 Job type: Permanent We're working with a leading asset manager seeking a talentedInvestment Risk Analystto jo View job & apply Location: London Job type: Permanent Sector: Commerce and Industry, Banking, Financial Services View job & apply Location: London Job type: Contract Sector: Banking Role Overview …/day Contract, 6-12mth (Dir Level) Location: London Job type: Contract Sector: Banking Our client is a Tier 1 Investment Bank who urgently need a Senior Director Level, Equity validati View job & apply Location: London Job type: Permanent Director - Quant Developer, Cross-Asset Analytics Platform Top Investment Bank London Hybrid View job & apply Liquidity Risk Investment More ❯
Team/Role Overview The Business Risk and Control SeniorAnalyst is responsible for supporting elements of the Citi Risk and Controls (CRC) Manager Controls Assessment (MCA) system transforming the design and delivery of the new MCA system. Assists Product Owners with interacting with wide-ranging stakeholders across Central Controls and within various risk and … control areas across the enterprise. Requires experience with technology, operational risk management practices and methods, a familiarity of their intersection, along with good organizational skills. Generally responsible for delivery of business requirements for MCA system changes, associated user stories and epics, drafting test scripts and overseeing User Acceptance Testing (UAT), and partnering with appropriate Technology teams and the business … to implement solutions for various sub-components of the enhanced MCA enterprise-wide process. Excellent communication skills required in order to collaborate internally, often at a senior level. Exercises efficient time management and planning for self. What you'll do Contribute to compilation and revision of MCA technology book of work to ensure enhancements are delivered as per agreed More ❯
Location: Belfast/India Contract: Permanent, Full Time Hours: 40 Hours per week Reporting to: Team Lead - Investment Compliance & Risk It is our ambition to substantially grow our business internationally over the coming years. The Investment Compliance & Risk Team Lead will play a key role in embedding business controls and act as a driving force in our continued … for technology solutions. Funds-Axis also provides high-quality, low-cost information products to the asset management sector, including Global Exchanges and Global Disclosure. Role Overview The Investment Compliance & Risk - Sr./Analyst will be responsible for managing a portfolio of Funds-Axis Technology client relationships, ensuring delivery of a consistently high level of service to clients. You More ❯
Our client, a top-tier asset manager, is looking to hire a senior investment risk professional in the global risk team. As part of a small team, this individual will lead the risk management of the Quantitative Investment platform, primarily covering equity funds. Key Responsibilities: Proactive role in managing the firm's risk management function … with a focus on covering equity portfolios. Lead the risk management of the Quantitative Investment platform. Provide portfolio analysis to ensure that Portfolio Managers understand the different risks in the market. Participate in monthly risk management meetings with Portfolio Managers. Process and understand risk predictions made by risk models. Initially assist with running of, but increasingly … develop, risk-management processes and be able to liaise with IT developers to implement the building of risk-management systems. Candidate Profile: 5-10 years relevant experience in an investment/quantitative risk function in an asset management environment. Prior exposure to equity portfolios. Strong understanding of methods used in managing portfolio risk, as well as More ❯