Remote Credit Risk Jobs

101 to 125 of 255 Remote Credit Risk Jobs

Lead Analyst Developer - Vice President

City of London, London, United Kingdom
Hybrid / WFH Options
SMBC Group
A role has risen in the team to work on the initiative of moving current platform to a cutting-edge SOLID framework Software Development - Risk Technology Team Risk development team is primarily responsible for the monitoring of market risk, credit risk and liquidity risk … of AzureDevOps is an advantage. - Proven experience of design and implementing micro-services architectures - Knowledge of financial markets and securities products. Experience in market risk and post trade settlement processing will be an advantage. - Ability to analyse information, understand business needs & requirements and derive the best possible systems solution … and Qualifications - Undergraduate level knowledge of computer science fundamentals - Track record of successfully delivering software development projects - Experience supporting live systems - Experience in financial risk system in investment banking - Experience in the latest data platforms an advantage Competencies Customer Focus Driving Change Driving Results Embraces Diversity Enterprise Leadership Judgement More ❯
Posted:

Lead Analyst Developer - Vice President

London Area, United Kingdom
Hybrid / WFH Options
SMBC Group
A role has risen in the team to work on the initiative of moving current platform to a cutting-edge SOLID framework Software Development - Risk Technology Team Risk development team is primarily responsible for the monitoring of market risk, credit risk and liquidity risk … of AzureDevOps is an advantage. - Proven experience of design and implementing micro-services architectures - Knowledge of financial markets and securities products. Experience in market risk and post trade settlement processing will be an advantage. - Ability to analyse information, understand business needs & requirements and derive the best possible systems solution … and Qualifications - Undergraduate level knowledge of computer science fundamentals - Track record of successfully delivering software development projects - Experience supporting live systems - Experience in financial risk system in investment banking - Experience in the latest data platforms an advantage Competencies Customer Focus Driving Change Driving Results Embraces Diversity Enterprise Leadership Judgement More ❯
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Front Office Quant Developer – Credit Risk

City of London, England, United Kingdom
Hybrid / WFH Options
Lorien
Front Office Quant Developer – Credit Risk | £800–£1,000/day (Inside IR35) | 12-Month Contract Our client, a leading name in the investment banking sector, is seeking a Front Office Quant Developer to support a major Credit Transformation project within their Global Markets Credit Quant … months Rate: £800–£1,000/day (via umbrella, Inside IR35) Start: ASAP Essential Skills: Strong C++ development experience Proven experience with derivatives risk engines Skilled in risk and PnL validation Familiarity with Credit derivatives libraries Experience integrating with GPrime or FirstLIB is a plus More ❯
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Client Onboarding Risk Consultant

London, England, United Kingdom
Hybrid / WFH Options
Visa
Join to apply for the Client Onboarding Risk Consultant role at Visa Join to apply for the Client Onboarding Risk Consultant role at Visa Visa is a world leader in payments and technology, with over 259 billion payments transactions flowing safely between consumers, merchants, financial institutions, and government … Life at Visa. Job Description Within Client Services, the Client Lifecycle Operations Team in Europe is made up of services covering Client Onboarding, Licensing, Risk Lifecycle Management, Card Design and Cobrand. The team provide operational support to clients, entailing specialised knowledge regarding Visa licenses. Our clients are primarily financial … institutions and fintechs. Risk Lifecycle Management supports client onboarding activities ensuring that new clients adhere to fundamental risk management measures to safeguard against fraud and mitigate other risks. The Risk Lifecycle Management team also review clients’ activities upon changes to their Visa Licence. The Ecosystem Risk More ❯
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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 … 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 … 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 More ❯
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Front Office Quant Developer – Credit Risk

London, England, United Kingdom
Hybrid / WFH Options
JR United Kingdom
Social network you want to login/join with: Front Office Quant Developer – Credit Risk, London Client: Lorien Location: London, United Kingdom Job Category: Other - EU work permit required: Yes Job Views: 4 Posted: 04.06.2025 Expiry Date: 19.07.2025 Job Description: Our client, a leading name in the investment … banking sector, is seeking a Front Office Quant Developer to support a major Credit Transformation project within their Global Markets Credit Quant Research Team. Location: London (Hybrid – 2-3 days/week in office) Contract: 12 months Start: ASAP Proven experience with derivatives risk engines Skilled in … risk and PnL validation Familiarity with Credit derivatives libraries Experience integrating with GPrime or FirstLIB is a plus #J-18808-Ljbffr More ❯
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Front Office Quant Developer – Credit Risk

Slough, England, United Kingdom
Hybrid / WFH Options
JR United Kingdom
Social network you want to login/join with: Front Office Quant Developer – Credit Risk, Slough Client: Lorien Location: Slough, United Kingdom Job Category: Other EU work permit required: Yes Job Views: 4 Posted: 04.06.2025 Expiry Date: 19.07.2025 Job Description: Our client, a leading name in the investment … banking sector, is seeking a Front Office Quant Developer to support a major Credit Transformation project within their Global Markets Credit Quant Research Team. Location: London (Hybrid – 2-3 days/week in office) Contract: 12 months Start: ASAP Proven experience with derivatives risk engines Skilled in … risk and PnL validation Familiarity with Credit derivatives libraries Experience integrating with GPrime or FirstLIB is a plus #J-18808-Ljbffr More ❯
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Senior Business Analyst

London, England, United Kingdom
Hybrid / WFH Options
Adecco
days ago Be among the first 25 applicants Direct message the job poster from Adecco Principal Recruiter | Finance, Risk & Procurement Specialist | The Adecco Group | Pontoon Solutions Join Our Client as a Senior Risk & Integration Business Analyst - VP! Location: London/Hybrid Are you ready to take on a … pivotal role in the financial services sector? Our client, one of the largest financial institutions headquartered in Japan, is seeking a dynamic Senior Risk & Integration Business Analyst to drive their Derivatives Integration Programme. If you're a self-starter with a passion for risk management and integration, we … want to hear from you! What You'll Do: Lead multiple workstreams focusing on the full project lifecycle in the Risk Management Department. analyse current processes and outputs across various Risk entities, including Market Risk, Credit Risk, and more. Define the To Be Operating Model More ❯
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Quantitative Strategist – Credit Risk and Capital Strats

London, England, United Kingdom
Hybrid / WFH Options
Deutsche Bank
Job Title Quantitative Strategist – Credit Risk and Capital Strats Location London Corporate Title Vice President Group Strategic Analytics is part of Group Chief Operation Office (COO) which acts as the bridge between the Bank’s businesses and infrastructure functions to help deliver the efficiency, control, and transformation goals … will be dedicated to the X-Value Adjustment (XVA) trading desk within the Fixed Income & Currencies business in the Investment Bank helping to build risk management and (pre-deal) pricing tools (XVA modelling and book risk management), enhancing the strategic XVA calculation engine/platform and supporting intraday … of both new products/models and automation Ensuring the smooth operation of the franchise, in terms of daily production of accurate and timely risk and P&L figures Dealing with multiple stakeholders, from traders to finance, from software developers to Market Risk Expanding pre-deal pricing capabilities More ❯
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Product Risk Manager - Retail Banking

London, England, United Kingdom
Hybrid / WFH Options
Starling Bank
people across our London, Southampton, Cardiff and Manchester offices. Do you want to help shape responsible retail banking by embedding thoughtful governance and risk practices? We're looking for a Product Risk Manager to join our Retail Banking team and play a key role in enhancing product risk awareness and controls. Reporting to the Director of Product Risk and Governance, you'll contribute to the development of product governance, policies, controls, and management information that support safe and fair outcomes for customers. Your work will directly support the Retail segment's financial crime prevention and operational … risk goals. Key Responsibilities Include: Partnering with Retail banking teams to deliver products aligned to risk appetite and regulatory expectations Embedding risk thinking into product development by enabling teams to combine customer-centricity with compliance from the outset Driving timely and robust governance for new product initiatives More ❯
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Product Manager, LexisNexis Risk Solutions (Hybrid)

Barry, Scotland, United Kingdom
Hybrid / WFH Options
RELX
Product Manager, LexisNexis Risk Solutions (Hybrid) RELX The Vale Of Glamorgan, Wales, United Kingdom Join or sign in to find your next job Join to apply for the Product Manager, LexisNexis Risk Solutions (Hybrid) role at RELX Product Manager, LexisNexis Risk Solutions (Hybrid) RELX The Vale Of … Glamorgan, Wales, United Kingdom 2 days ago Be among the first 25 applicants Join to apply for the Product Manager, LexisNexis Risk Solutions (Hybrid) role at RELX About The Business LexisNexis Risk Solutions is the essential partner in the assessment of risk. Within our Business Services vertical, we … 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. UK (Cardiff or London, Hybrid) About The Business LexisNexis Risk Solutions is the essential partner in More ❯
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FX Senior Business Associate (Vice-President)

Belfast, Northern Ireland, United Kingdom
Hybrid / WFH Options
Citigroup Inc
This role requires working closely with the product to support business goals, and partnership with cross functional teams including Product Management, Client Facilitation, Legal, Credit Risk Management, Compliance, Operations and Technology. The responsibilities of the function can be broken down into 4 components: Financials and performance metrics reporting … ll do Business Administration/Governance Problem-solving mindset capable of collaboration, building consensus, and completing implementation Liaise with support functions, building relationships with credit risk, market risk, operations, finance and technology to assist in delivering on business strategy Create management presentations for desk heads and senior More ❯
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Market Risk Analyst

London, England, United Kingdom
Hybrid / WFH Options
Tempest Vane Partners
message the job poster from Tempest Vane Partners Tempest Vane Partners is working with a leading global macro hedge fund to recruit a Market Risk Analyst with a strong technical foundation and a focus on Emerging Markets . This is a rare opportunity to join a high-performing risk team embedded within a fast-paced investment environment. About the Role: As a Market Risk Analyst, you'll work closely with Portfolio Managers and senior investment leaders to assess, monitor, and enhance risk oversight across Emerging Market strategies — spanning rates, FX, credit, and derivatives. Your insights … will shape decision-making at the highest level, supporting both fund-wide and individual portfolio risk objectives. What You’ll Be Doing: Collaborate with PMs running Emerging Markets strategies to understand trade logic, portfolio positioning, and risk concentration. Deliver performance and risk analysis to the Chief Risk More ❯
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Model Validation Specialist

Leeds, West Yorkshire, Yorkshire, United Kingdom
Hybrid / WFH Options
Leeds Building Society
s a purpose that drives everything we do and one we're proud of. And you can play your part too join our dedicated Risk team as our Model Validation Specialist. How you'll make a difference You will perform independent model validation reviews and oversight of the Society … s residential mortgage IRB and other credit-related models to ensure they are conceptually sound, appropriately implemented, and are compliant with internal policies and external regulations. In addition, the role will support with the independent validation of other financial models performed within the team, as required. What will you … bring to the role? Knowledge and experience of using Python, SAS and other programming languages e.g. SQL. Be highly numerate with proven experience of credit risk/IRB model development or validation within a financial institution. A good understanding of residential mortgage portfolios, risk drivers, and lifecycle More ❯
Employment Type: Permanent, Work From Home
Salary: £10,000
Posted:

Risk Analyst

London, England, United Kingdom
Hybrid / WFH Options
INFINOX Global
evolving and challenging environment whilst ensuring our clients are valued and serviced at the centre of our business. Role INFINOX is looking for a Risk Analyst to join the trading desk. The role is primarily focused on Pricing, Execution, and Risk Management. It requires a strong understanding of … Metaquotes Technology,Bridge Providers, and Risk Management tools. You will work closely with the Risk Management and Trading Operations teams to ensure that we are optimising our pricing, execution, and Risk Management Strategies. This will involve building hypothesis scenarios, enhancing tools, monitoring client behaviour, and ensuring the … are provided to both the desk and external stakeholders. Key Responsibilities Manage the pricing tool to optimise Pricing, Execution and Risk. Utilise and enhance Risk Management Tools & Dashboards. Produce Reports and Data as required by Trading Desk and Stakeholders. Assist Trading Operations with queries and support. Execute the Risk More ❯
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Risk Modelling Manager

London, England, United Kingdom
Hybrid / WFH Options
Virgin Money UK
This job is brought to you by Jobs/Redefined, the UK's leading over-50s age inclusive jobs board. Business Unit: Model Risk and Analytics Salary range: up to £70,000 per annum DOE + red-hot benefits Location: UK Hybrid, at one of our local HUBS Contract … type : Permanent Be the voice we need. Live a life more Virgin. Our Team The Model Risk and Analytics (MRA) team, work at the intersection of Data Science, Statistical Modelling and Economics, using data to support the business through model building or providing actionable insights from the data. As … Testing team, you'll help secure the foundations of our business decisions by providing qualitative and quantitative analysis across our model suites. As a Risk Modelling Manager, you will lead a small team of modellers and data scientists to develop these models. The team's focus is on the More ❯
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Senior Risk Manager

Amsterdam, Noord-Holland, Netherlands
Hybrid / WFH Options
W Talent
Senior Risk Manager - Regulated Crypto Exchange Amsterdam We are hiring on behalf of a regulated, MiCAR-compliant crypto exchange based in Amsterdam , currently expanding its operations and product coverage across Europe. The firm is seeking a Risk Manager with strong experience across operational and financial risk , ideally … gained in both traditional finance and crypto markets . This is a strategic and hands-on position, ideal for someone who understands the risk landscape across spot, futures, and OTC trading , and who is comfortable operating in a high-growth, regulated environment. Key Responsibilities: Develop and maintain the enterprise … wide Risk Management Framework , ensuring alignment with MiCAR , MiFID II , and other relevant regulations Own and update risk policies , control documentation, and internal registers Monitor and report on financial risk exposures including liquidity, counterparty, and credit risk Manage the operational risk function including process More ❯
Employment Type: Permanent
Salary: EUR Annual
Posted:

Finance Director

London, United Kingdom
Hybrid / WFH Options
Credit Benchmark
Join our team of technology, financial services and data experts. Credit Benchmark is a prominent provider of financial data and analytics solutions, providing its proprietary services to many sophisticated financial corporations and businesses around the world. Credit Benchmark partners with many blue chip global financial institutions to create … its unique Credit Consensus Ratings, which represents the consensus credit risk views of such institutions on over 100k businesses around the world, many of whom are private businesses where no other sources of credit risk data exist. Headquartered in London, with operations in New York … the UK Experience with international expansion and multi-currency operations. Operating experience with US and India would be favourable. Familiarity with R&D tax credit application. Familiarity with managing benefit/incentive plans: commissions, stock options, pensions etc. Familiarity with ERP/finance systems (e.g., Xero, NetSuite) and SaaS More ❯
Employment Type: Permanent
Salary: GBP Annual
Posted:

Capital Risk Manager

London, England, United Kingdom
Hybrid / WFH Options
Handelsbanken
Join to apply for the Capital Risk Manager role at Handelsbanken Join to apply for the Capital Risk Manager role at Handelsbanken Get AI-powered advice on this job and more exclusive features. Job Introduction The Financial Risk team is the second line responsible for oversight of … effective management of funding and liquidity, capital and market risks of Handelsbanken Plc, as well as overseeing Prudential risk. Job Introduction The Financial Risk team is the second line responsible for oversight of effective management of funding and liquidity, capital and market risks of Handelsbanken Plc, as well as … overseeing Prudential risk. This is an excellent opportunity to join and develop your financial risk analytics capabilities within the broader UK Risk function. The breadth of the deliverables and the fact that processes, modelling- and analytical capabilities are continuously being developed and improved demands a flexible and collaborative More ❯
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First Party Fraud Strategy Senior Analyst

London, England, United Kingdom
Hybrid / WFH Options
Virgin Money
keeping us and our customers safe. They are our first line of defence function and responsible for day-to-day fraud and financial crime risk identification, ownership, management and control. We’re seeking an inspiring and engaging First Party Fraud SME who is insatiably curious and isn’t afraid … the fraud strategy team, you’ll be responsible for supporting our efforts in detecting, preventing and mitigating first party fraud on our unsecured products (credit cards, loans & bank accounts). You’ll work closely with stakeholders in commercial, credit risk & operations to develop robust fraud strategies to … prevent credit abuse risk. We’re seeking a skilled, enthusiastic professional who can make an impact. What you’ll be doing Supporting the development of first party fraud strategies and controls to detect and prevent credit abuse. Developing a fraud handbook to support the business and management of More ❯
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FX Options Risk Tech Lead - SVP

London, England, United Kingdom
Hybrid / WFH Options
Citi
Join to apply for the FX Options Risk Tech Lead - SVP role at Citi 1 day ago Be among the first 25 applicants Join to apply for the FX Options Risk Tech Lead - SVP role at Citi Get AI-powered advice on this job and more exclusive features. … The FX Options Risk Tech Lead will lead the technical aspects of migrating from the legacy FX Options valuation system to the new strategic risk platform. This involves collaborating with technology and business stakeholders to define requirements, design solutions, and oversee implementation. A key focus will be minimizing … maximizing the leverage of shared components, and reducing operational costs. The Tech Lead will also establish a strategic roadmap for FX Options intra-day risk capabilities. This role requires a deep understanding of FX Options pricing, risk management principles, and the ability to translate business needs into technical More ❯
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Credit Risk Analyst (Collections Strategy)

London, England, United Kingdom
Hybrid / WFH Options
Salary Finance
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 … 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 More ❯
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Senior Machine Learning Scientist Cardiff, London or Remote (UK)

London, England, United Kingdom
Hybrid / WFH Options
Monzo
Monzo in delivering great products and experiences. We have seen stellar growth and deep engagement with millions of borrowers, supported by effective and efficient credit risk management. Our product portfolios are still expanding, from personal to business credit, and markets beyond the UK. We are looking for … Scientists is to improve customer and business outcomes through better automated decisioning, using Machine Learning and Statistical modelling. We have a primary focus in credit risk modelling, with our expertise also applied to predict and optimise utilisation, pricing, collection, and marketing. You will be working alongside a small … with autonomy to decide what are the most impactful topics to work on, and how to deliver them. You will work closely with our Credit Strategy Analysts, Model Validation Analysts, Backend Engineers, and Product Managers, to fit your model development into the product roadmap. You are also empowered to More ❯
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Risk Modelling Senior Analyst / Data Scientist

Edinburgh, Scotland, United Kingdom
Hybrid / WFH Options
M&G
the Solvency II Internal Capital Model development project team and play a key part in the development of the methodologies within the Solvency II credit risk model and tools that underpin the calibrations. The role will include a mixture of technical work, the drafting of technical documentation and … communication with various stakeholders around M&G plc. This is a permanent position, reporting to a Risk Modelling Manager, which has a blended approach between working from home and in our Scotland or London offices. The wider Risk Modelling team is responsible for economic and market-related methods … a best estimate basis and for the additional capital held to protect solvency under adverse events, for example: The annual calibration of market and credit risks, as well as the dependency structure between risks, which includes collecting data, refreshing analyses, understanding changes, rationalising judgements and presenting conclusions and proposals More ❯
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Risk Modelling Senior Analyst / Data Scientist

Stirling, Scotland, United Kingdom
Hybrid / WFH Options
M&G
the Solvency II Internal Capital Model development project team and play a key part in the development of the methodologies within the Solvency II credit risk model and tools that underpin the calibrations. The role will include a mixture of technical work, the drafting of technical documentation and … communication with various stakeholders around M&G plc. This is a permanent position, reporting to a Risk Modelling Manager, which has a blended approach between working from home and in our Scotland or London offices. The wider Risk Modelling team is responsible for economic and market-related methods … a best estimate basis and for the additional capital held to protect solvency under adverse events, for example: The annual calibration of market and credit risks, as well as the dependency structure between risks, which includes collecting data, refreshing analyses, understanding changes, rationalising judgements and presenting conclusions and proposals More ❯
Posted:
Credit Risk
Work from Home
10th Percentile
£55,000
25th Percentile
£61,250
Median
£99,819
75th Percentile
£120,000
90th Percentile
£132,500