Credit Risk Jobs

51 to 75 of 292 Credit Risk Jobs

SV-VPII Project Finance- Hybrid

New York, United States
Hybrid / WFH Options
First Citizens Bank
ways of working, and especially those traditionally underrepresented in technology and financial services, to apply. Responsibilities: The Portfolio Management Group is responsible for monitoring credit performance of SVB's project finance portfolio. Supporting a team that is focused on the execution of project finance debt transactions across a variety … of potential energy and resource innovation sectors, including: renewable energy, power, and infrastructure. The role entails leading credit monitoring, control, and administration of a portfolio of borrowers with a view to identifying potential credit issues early. In addition, a significant portion of the role involves analyzing consent/… waiver requests, evaluating the credit impact of the request and any mitigants and preparing an application for credit approval of the request under the guidance of senior team members. Responsibilities • Supporting portfolio management, including analyzing amendment and waiver requests, assisting with monitoring periodic credit approval renewals, processing more »
Employment Type: Permanent
Salary: USD Annual
Posted:

FRTB Market Risk Quant

London Area, United Kingdom
Allegis Global Solutions
to 900 GBP per day PAYE Duration: 12 months with possible extension Work type: hybrid This role is a key contributor to the Market Risk Analytics team (MRA). MRA is responsible for all Market Risk models and methodologies within SCB, including, for example, VaR, FRTB, and RniV. … These models are used for internal risk management and capital computation. Key projects: Provide strong technical lead on the Credit VaR model enhancement Lead the end-to-end model development cycle to enhance the Credit VaR model Lead the setup and backfilling of historical data for credit risk factors Lead the implementation of the model into the production system, and conduct impact analysis before the model go-live. Monitor Market Risk model performance, e.g., hypothetical back-testing Other projects and responsibilities: Develop market risk models which are used for regulatory capital and risk more »
Posted:

Head of Credit Analytics - Consumer Finance

Manchester Area, United Kingdom
CBC Resourcing Solutions
Head of Credit Analytics - Consumer Finance Manchester - Hybrid - three days a week in city centre Manchester £80,000 to £100,000 per annum plus excellent bonus and benefits package The Client: A specialist bank providing a range of lending and savings products for the UK SME and retail consumer … product to complement its existing range of lending products. The Role: Leading all aspects of the bank's automated lending decisioning as it streamlines credit risk analysis and launches into new product areas including a new consumer hire purchase retail offering. Designing and implementing consumer lending decision strategies … rulesets and scorecards supported by best-in-class modern technology. Owning the risk-based pricing model, reporting and monitoring automated decisioning performance. Feeding back performance observations and suggesting improvements to the consumer lending team including underwriting, collections and customer services. Assisting the finance team with the development of IFRS9 more »
Posted:

Underwriting Manager

United Kingdom
Hybrid / WFH Options
BCT Resourcing
UK. As the Underwriting Manager, you will be directly responsible for leading and managing our underwriting department, ensuring the timely and accurate assessment of credit applications while maintaining strict compliance with company policies, regulatory guidelines, and risk management practices. Your role will be critical in shaping and implementing … underwriting strategies to drive business growth while effectively managing credit risk. Core Responsibilities: * Lead, manage, and mentor a team of Underwriters, fostering a positive and collaborative work environment. * Set clear performance objectives, provide regular feedback, and conduct performance evaluations. * As an Underwriting subject matter expert, work alongside key stakeholders … to improve efficiency, effectiveness, and customer experience. * Support the team in evaluating Hire Purchase applications, assessing creditworthiness, considering factors such as application data, affordability, credit referencing agency reports and open banking data. * Ensure compliance with relevant regulatory requirements as set out by Compliance Team, including but not limited to more »
Employment Type: Permanent
Salary: £65,000 - £65,000
Posted:

Quant Risk and Valuations Manager

Greater London, England, United Kingdom
Apollo Solutions
Quantitative Risk and Valuations Manager - London Advisory Services - Consulting Strong Starting Basic Salary + Benefits + Bonus Our client is looking for someone to progress their career in a dynamic role, dealing with a variety of valuations and advisory projects in their growing Quant Risk and Valuations practice. … Responsibilities: Deliver sound valuation and quant/credit risk advisory services, liaising regularly with senior stakeholders. Develop valuation models and modelling techniques, including complex derivatives and structured products. Proactively seek to enhance and identify opportunities to increase value add to clients. Build long-lasting relationships, and provide high … quality services. Requirements: Master's in relevant field. 2+ years experience in valuation/credit risk/quant risk. Deep interest in finance and natural curiosity/analytical mindset. Excellent communication skills building relationships, both written and oral, along with good judgement, with a proven ability as a more »
Posted:

Senior Credit Underwriter Analyst

Maidenhead, Berkshire, United Kingdom
Marc Daniels
A market leading company based in Maidenhead are looking for a Senior Credit Underwriter Analyst to join their growing team. This is a fantastic experience for someone with 2 years plus experience in Credit Control. The company has an amazing culture with fantastic offices, excellent benefits and incentives. … Responsibilities: Report directly to credit manager and assist with the day-to-day management of a dedicated customer ledger. Deliver timely credit decisions within stated credit parameters and own underwriting authority with the ability to provide commercially balanced recommendations Make recommendations with supporting substantiated rationale on deals … outside of own personal credit underwriting mandate Obtain and analyse financial, risk and market information Maintenance of credit processes to ensure integrity and accuracy of data Communicate credit decisions and requirements in a clear and concise manner to other parts of the business Keep up to more »
Employment Type: Permanent
Salary: £45000 - £55000/annum
Posted:

Liquidity Risk Manager

Greater London, England, United Kingdom
CMC Markets
We are looking to high an experienced Liquidity Risk Manager. Within this role you will be responsible assisting with the implementation of an effective Liquidity Risk framework. As the Liquidity Risk Manager, you will assist in ensuring that mandated aspects of liquidity risk are correctly captured … reported and scrutinised in a timely and efficient manner, which is in line with a market leading second line of defence risk liquidity function. ***This role is based onsite at our Liverpool Street office 5 days per week*** Key Responsibilities: Assist the Liquidity Risk function in supporting the … business by providing risk oversight for its current and future initiatives. The Liquidity Risk Manager will take ownership of the liquidity risk elements as part of any projects, ensuring timely delivery in line with requirements. Continue to develop the Liquidity Risk processes, procedures, standards and policies. more »
Posted:

Credit Risk Specialist

London Area, United Kingdom
Hybrid / WFH Options
Undisclosed
to delivering innovative solutions and exceptional service to our clients. Our team of dedicated professionals thrives on pushing the boundaries of financial analysis and risk management to drive success in an ever-evolving market landscape. Essential Skills/Basic Qualifications: A strong academic background with a minimum of an … tasks and projects. Desirable Skills/Preferred Qualifications: Preferred qualifications include an MBA, CA, Masters in Statistics, Economics, Finance, or Engineering. Prior experience in Credit Risk Model Development or Model Validation within the banking or financial industry. Proficiency with Data Analysis tools such as SAS, Python, and MS … Suite (Word, Excel, PowerPoint, Project, Visio, and SharePoint). Previous experience in the banking or financial industry with knowledge of capital and risk management principles is highly desirable. Please note, in the event of a high volume of applications for this role, we will not be able to respond more »
Posted:

Manager - Risk Reporting with Data Analytics

Krakow, Kraków, Lesser Poland Voivodeship
Nexus Jobs Limited
Job Description Manager - Risk Reporting with Data Analytics Wholesale Credit and Market Risk (WMR) department within HBEU measures and monitors global credit and market risks arising from lending and trading activities as well as providing credit approval for corporates, financial institution and sovereign exposures. The … them in a centralized and standardized manner. Key Accountabilities: " Understand the requirements of the regulators/senior management " Create solutions basis the knowledge of Risk systems to optimize the timeliness and accuracy of results " Explain the month on month, quarter on quarter movements in the risk metrics in … a business language " Manage stake holders in Regional and Group Risk functions, coupled with finance/business as required " Builds and maintains effective working relationships with IT & System owners " Acquire data from primary or secondary data sources to meet the reporting/analysis requirements " Identify valuable data sources and more »
Employment Type: Permanent
Salary: £15,000 - £20,000
Posted:

Senior Credit Research Analyst - Fully Remote - 6 months - 460 per day

Fully Remote, England
Hybrid / WFH Options
ABWRecruitment
My client a Leading Energy Supplier based in Canary Wharf requires a Senior Credit Research Analyst for a 6 month contract @ £460 per day (inside ir35). Fully Remote working available if desired. Role Synopsis: The credit research analyst for trading & shipping (t&s) is accountable for fundamental … credit views and analysis in support of t&s' commercial and credit portfolio management strategies, including the development of counterparty-specific credit ratings and reviews. He or she will partner closely with other local and global credit staff in support of business and growth strategies, and … with other credit research staff across regions to align underwriting approach and inform industry or portfolio level risk management outlooks and reviews. Given the breadth of knowledge and experience provided by this role, candidates are expected to demonstrate a capability and passion for continued professional development, allowing them more »
Employment Type: Contract
Rate: £460
Posted:

Senior Business Analyst with Risk

Krakow, Kraków, Lesser Poland Voivodeship
Hybrid / WFH Options
Nexus Jobs Limited
Job Description Senior Business Analyst With Risk Our Client - an international Bank is looking to recruit a Senior Business Analyst with at least 5 to 7 years experience as Business Analyst. The team has a responsibility to deliver to a set of expected standards being set by the Regulatory … defined by the Basel 3 Reforms central Operating model and controls function. The role holder will be working with process owners, service owners and Risk and Control colleagues to define the operating model that will be in place following the implementation of the Basel 3 Reforms, and to define … Reforms programme. Key Accountabilities: To document the business process controls, IT general controls and Business Application Controls and ensure full syndication and approval from Risk Stewards, Risk Owners, Controls Office and Control Owners To Support senior stakeholders globally through complex process change and systems change delivery activities Deal more »
Employment Type: Permanent
Salary: £45,000 - £60,000
Posted:

SV-Associate II Project Finance- Hybrid

New York, United States
Hybrid / WFH Options
First Citizens Bank
potential energy and resource innovation sectors, including: renewable energy, power, infrastructure, water and agricultural technology. • All aspects of transaction execution, including due diligence, internal risk and return evaluations, and coordinating processes with clients, advisors, other lenders and internal partners. • Deal team support with independent research and analysis on credit … of customer due diligence procedures including customer registration, renewals and monitoring. • Supporting portfolio management, including analyzing amendment and waiver requests, assisting with monitoring periodic credit approval renewals, booking changes to existing transactions and assisting in preparing for and responding to internal and external audits. Origination and Execution: • Assist deal … materials and reports, research to support new initiatives, and coordinating with clients, advisors, other lenders and internal constituents. • For new deals, manage the internal credit process conducting analysis and research, preparing credit memorandums and applications and managing communications with credit and operations teams from origination through close more »
Employment Type: Permanent
Salary: USD Annual
Posted:

Director, Head of Commercial & Pricing, Life Moments

London Area, United Kingdom
Hybrid / WFH Options
Barclays UK
of Barclays to create excellent outcomes and positively influence • Responsible for defining and leading the development of strategic commercial initiatives to optimise product mix, risk appetite and margin in order to achieve growth of the product and our commercial objectives • The role has an impact for determining the professional … the business, utilising resources effectively to create a sustainable model, whilst also ensuring future strategy is understood and delivered by colleagues. • Ensuring operational and risk frameworks are adhered to for all direct reports, including observations. • Responsible for effectively using insights and analytics to help shape, embed and validate the … team to support insight and optimisation including working closely with internal stakeholders such as Analytics Centre of Excellence (ACE), Marketing Centre of Excellence, Treasury, Risk and Finance • Ensure all stakeholders and Partners across Barclays UK understand the product vision and associated priorities • Work closely with stakeholders across the team more »
Posted:

Insight Analysts (x4)

Leicestershire, England, United Kingdom
Hybrid / WFH Options
Willow Resourcing Limited
adding value by contributing ideas and solutions to any problems or opportunities identified. You’ll work with other teams to produce and deliver suitable credit portfolio strategies, serving as the data insights expert, whilst best representing the commercial value and regulatory aspects of lending activity. You’ll have previous … also need strong SQL, SAS and/or Python experience and excellent communication skills. And just to reiterate, no previous Financial Services experience (or Risk/Credit Risk experience) is required! You don't hear that very often! Sound good? If so, click apply and send over more »
Posted:

Lead Data Scientist

Cardiff, Wales, United Kingdom
Hybrid / WFH Options
LexisNexis Risk Solutions
Lead Data Scientist - Cardiff - Hybrid Working 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 … 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 : You … will part of a team assisting the business with statistical analysis and building predictive models for credit, fraud, and identity risk. About the Role : This a Lead Data Scientist to manage a small team of data scientists. You will lead discussions with stakeholders on the requirements, deliverables, and prioritisation more »
Posted:

Community Association Banking Portfolio Manager

Phoenix, Arizona, United States
First Citizens Bank
as well as all related Federal, State and Industry laws and regulations pertaining to Banking. Responsible for ensuring approved loans are structured according to credit approvals, th at borrowers maintain compliance with loan covenants , compose load modifications as needed as well as work with credit to monitor on … going credit quality . Responsible for the the sound structuring of new and existing CAB loans, loan modifications, and other agreements. Responsibilities: Research - Maintains a strong knowledge of banking services, as well as knowledge of the CAB industry and markets served. Conducts and documents fundamental and relative value research. … Utilizes results to deliver specific, insightful, and timely credit research opinions. Builds relationships with external sources to support research efforts. Portfolio Management - Reviews and monitors the credit quality of both existing and new CAB loan opportunities. Works with credit analysts to ensure proper underwriting and may perform more »
Employment Type: Permanent
Salary: USD Annual
Posted:

Integrated Forecasting Manager

Greater London, England, United Kingdom
InterQuest Group
The Company is an independent boutique consulting firm that have extensive global experience and industry recognition in the financial services, risk management and finance communities. a boutique consulting firm focused on risk, finance and strategy, they deliver innovative concepts and methodologies based on specialist experience and analytical backgrounds … across multifaceted competencies of risk, finance and strategy they overcome the traditional silo thinking and offer client-specific solutions as well as sustainable implementation development strategies people driven they allow members of all levels to actively participate in the running and development of their young firm They are looking … for an individual who has: years of experience in consulting for financial services and/or the banking industry (risk management, balance sheet management or finance business planning). academic background with a post-graduate degree in an analytical field. experience in (i) finance business planning, (i) treasury/ more »
Posted:

Solutions Consultant - Fraud

Greater London, 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 EMEA Fraud and Identity team … through internal handover to delivery Providing expertise by applying product and/or process to the customer bas Requirements Experience in the fraud prevention, risk, or authentication space Experience of risk management, fraud prevention, banking industry, identity verification, cyber security, malware research, credit policy or payments industry 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 »
Posted:

Senior Risk Modelling Analyst

West Midlands, England, United Kingdom
InterQuest Group
This is an exciting opportunity with an established financial institution in the West Midlands who are looking to bring in a Senior Risk Modelling Analyst who will have the opportunity to get hands-on working with the team and taking ownership of the model development cycle. This is a … greenfield opportunity to establish yourself within a business that will offer the chance to lead the credit risk model development, but also the opportunity for wider analytical modelling within the company. You will have interaction with multiple senior stakeholders and C-Suite on a weekly basis and manage … with a consistently high degree of accuracy If you have relevant experience and looking for the next step in your career as a Senior Risk Modelling Analyst, apply now more »
Posted:

Quantitative Researcher

London Area, United Kingdom
Radley James
edge technology, we are at the forefront of quantitative trading in the cryptocurrency markets. They’re seeking a talented Quantitative Researcher. Key Responsibilities: Build risk models for market, liquidity, credit risk of assets and instruments to be used for real-time risk monitoring systems Build pricing more »
Posted:

Fraud Analytics Team Lead

London Area, United Kingdom
LexisNexis Risk Solutions
Fraud Analytics Team Lead - 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 … 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 : As … ensuring that your team’s delivery is on track. Motivate your team to grow in their roles Performing data analysis to identify both high-risk and trusted behaviours, translating findings into actionable insights. Ranging from intuitive rules to high-performing policy score optimisations. which will be deployed live in more »
Posted:

Senior Pricing Analyst - Energy Markets (f/m/d)

Essen, Nordrhein-Westfalen, Germany
E.ON Energy Markets GmbH
in existing and new markets for E.ON in a variety of energy commodities (electricity, gas, renewables, and cross-commodities) Develop and execute hedging and risk mitigation strategies for positions stemming from origination transactions. Work closely with E.ON's portfolio management and front office departments (central and regional) to preserve … origination strategies. Contributes to E.ON's earnings target by delivering on/above budget Strong team player who can liaise and steer internal stakeholders (Risk, Portfolio Strategy, Finance, Contract/Legal, etc) in structuring, assessment and approval of transactions Experienced networker who is able to develop and keep up … transactions Deep understanding of financial and physical energy markets (futures, forwards, and exchanges). Thorough knowledge of European energy markets. Familiarity with market and credit risk management, balance sheet structures, asset valuations methodologies, accounting principles particularly with respect to structured transactions highly appreciated. Experienced in and familiar with more »
Employment Type: Permanent
Salary: EUR Annual
Posted:

Senior Energy Analyst / Contract Specialist Sourcing (f/m/d)

Essen, Nordrhein-Westfalen, Germany
E.ON Energy Markets GmbH
in existing and new markets for E.ON in a variety of energy commodities (electricity, gas, renewables, and cross-commodities) Develop and execute hedging and risk mitigation strategies for positions stemming from origination transactions. Work closely with E.ON's portfolio management and front office departments (central and regional) to preserve … origination strategies. Contributes to E.ON's earnings target by delivering on/above budget Strong team player who can liaise and steer internal stakeholders (Risk, Portfolio Strategy, Finance, Contract/Legal, etc) in structuring, assessment and approval of transactions Experienced networker who is able to develop and keep up … transactions Deep understanding of financial and physical energy markets (futures, forwards, and exchanges). Thorough knowledge of European energy markets. Familiarity with market and credit risk management, balance sheet structures, asset valuations methodologies, accounting principles particularly with respect to structured transactions highly appreciated. Experienced in and familiar with more »
Employment Type: Permanent
Salary: EUR Annual
Posted:

Senior Commodity Analyst / Source of Supply (f/m/d)

Essen, Nordrhein-Westfalen, Germany
E.ON Energy Markets GmbH
in existing and new markets for E.ON in a variety of energy commodities (electricity, gas, renewables, and cross-commodities) Develop and execute hedging and risk mitigation strategies for positions stemming from origination transactions. Work closely with E.ON's portfolio management and front office departments (central and regional) to preserve … origination strategies. Contributes to E.ON's earnings target by delivering on/above budget Strong team player who can liaise and steer internal stakeholders (Risk, Portfolio Strategy, Finance, Contract/Legal, etc) in structuring, assessment and approval of transactions Experienced networker who is able to develop and keep up … transactions Deep understanding of financial and physical energy markets (futures, forwards, and exchanges). Thorough knowledge of European energy markets. Familiarity with market and credit risk management, balance sheet structures, asset valuations methodologies, accounting principles particularly with respect to structured transactions highly appreciated. Experienced in and familiar with more »
Employment Type: Permanent
Salary: EUR Annual
Posted:
Credit Risk
10th Percentile
£38,750
25th Percentile
£43,250
Median
£51,528
75th Percentile
£95,000
90th Percentile
£129,500