Credit Risk Analysis Jobs

1 to 21 of 21 Credit Risk Analysis Jobs

Lead credit risk analyst

West Midlands, England, United Kingdom
Harnham
LEAD CREDIT RISK ANALYST BIRMINGHAM UP TO £60,000 As a Lead Credit Risk Analyst, you will play a pivotal role in managing and enhancing our bank's credit risk strategies. Leveraging your expertise in credit risk analysis, you will contribute … to the development and implementation of robust credit risk models and policies, ensuring the bank's portfolio remains resilient and aligned with regulatory standards. THE ROLE Conduct a comprehensive analysis of the credit portfolio, identifying emerging risks, providing insights to senior management for informed decision-making … and implementing credit risk strategies. Collaborate with cross-functional teams to formulate and update credit risk policies, ensuring compliance with regulatory requirements and internal standards. Utilize large datasets to extract meaningful patterns, trends, and insights, contributing to a proactive and data-driven credit risk more »
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Interim Credit Risk Manager, Energy Trading

London Area, United Kingdom
Richard James Recruitment Specialists Ltd
Are you a Credit Risk Professional, with experience in Commodities, and immediately available? If so, this could be a fantastic opportunity.... Our client is a very successful Global Energy Trading company with access to all key markets worldwide You will be part of the Credit function which … is responsible for all aspects of credit risk management including pre-deal counterparty assessments, counterparty KYC and sanctions checking, contractual and credit support negotiations, portfolio credit exposure management (including mitigation), default probability assessments, and credit risk capital assessments. Key Role Responsibilities: As part of … the Credit & KYC team, the Credit Risk Manager will be responsible for: Managing autonomously credit risk related requests primarily from the UK and US offices overseeing risks, rating, limit and mitigation assessments for new and existing counterparties. Direct involvement in the review process and write more »
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Credit Risk Manager, Vice President

London Area, United Kingdom
Hybrid / WFH Options
Mizuho
of influence and base of knowledge as part of one of the largest-and growing-banks in the world. What is the opportunity? The Risk Management Department at Mizuho International is responsible for delivering an independent assessment of the risks taken across all the trading and origination activities of … the Company, and the revenue generated in relation to these risks. It is also responsible for implementing a risk management framework consistent with the Company's risk appetite and capacity of resources, in agreement with the Company's Board and Mizuho Securities. The department is led by the … Chief Risk Officer and is made up of the following teams: Market Risk Management Credit Risk Management Operational Risk Management Regulatory & Liquidity Risk Management Model Risk Management Risk Analytics Risk Reporting What will you be doing? • Primary credit risk more »
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Senior Credit Risk Analyst

London, England, United Kingdom
Harnham
Senior Credit Risk Analyst London £65,000 + Competitive Benefits This is a great opportunity to join an innovative, growing fintech lender as a Senior Credit Risk Analyst responsible for their Expected Loss (PD, LGD, EAD) models and processes. This is a highly technical role with … broad responsibilities including Credit Risk modeling, analysis, strategy input and engagement with stakeholders. THE COMPANY: A leading UK fintech that puts the customer at the center of everything they do. They are a highly data-driven and technology business that provides innovative lending solutions to customers THE … ROLE: Manage the expected loss models (PD, LGD, EAD) including developing improvements to existing models, making changes to models etc Perform credit risk portfolio analysis including using outputs of models to inform portfolio decisions including on pockets of opportunity and risk Mentor junior analyst responsible for more »
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Portfolio Monitoring Executive - Private Credit

London Area, United Kingdom
Carnegie Consulting
The Opportunity: Working for one of Europe’s leading Private Credit Funds, this is a fantastic career opportunity for an exceptional candidat eA broad role that offers a huge amount of internal and external interaction with key stakeholders. As you’d expect, you will need to possess brilliant communication … skills, both verbal and writte nThe Portfolio Management team is newly created and provides support to the growing Private Credit platform as it continues to scale. This function is deeply embedded within the wider Investment team and supports the investments post-origination throughout their entire investment cycle, by the … provision of routing monitoring and oversigh tThe approach is very much risk based, with credit analysis at the heart of the rol e Key outputs includ e: Active portfolio monitoring and the management of corporate actions that may include covenant waivers, liquidity issues et c..The enhanced monitoring more »
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AVP Portfolio Risk Manager Project Finance/Infrastructure

City of London, London, United Kingdom
cer Financial Ltd
AVP Portfolio Risk Manager Project Finance/Infrastructure City of London/Hybrid 2/3 split Contract until March 2025 £350 - £400 per day cer Financial are working alongside a diverse exciting international bank who are based in the City of London. They are seeking a Portfolio Risk … AVP exists to manage a portfolio of Project Finance Loan transactions of a complex nature, dealing with waiver requests and variations, the monitoring of risk, application of associated credit grades and various other administrative tasks, such as KYC, documentation and covenant compliance but the overriding job is to … have credit vigilance of the portfolio. . The Responsibilities of a Portfolio Risk Manager Will Include: Support senior staff as part of the Exposure Management team in managing a portfolio of accounts, undertaking credit analysis work, processing waivers/variations and maintaining credit surveillance. Prepare more »
Employment Type: Contract
Rate: From £350 to £400 per day
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US & EU L/S Credit Analyst

Greater London, England, United Kingdom
Maven Securities
JOB DESCRIPTION Position Summary : The Long/Short European Credit Analyst will support the credit research and investment process for our European credit Portfolio Manager. This role involves conducting thorough credit analysis, monitoring market developments, and assisting in the formulation of investment strategies. The ideal … candidate will possess strong analytical skills, a keen interest in credit markets, and the ability to work effectively in a fast-paced environment. Key Responsibilities : Conduct in-depth fundamental credit analysis of European & US corporate issuers across various sectors. Assist in the development and implementation of long … investment strategies by identifying attractive investment opportunities and potential risks. Monitor and evaluate market trends, economic data, and sector-specific developments that may impact credit investments. Support portfolio manager in portfolio construction, risk management, and performance attribution. Prepare detailed credit reports, financial models, and investment memos to more »
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European IG and HY Credit Analyst

London, England, United Kingdom
Hybrid / WFH Options
AXA
European IG and HY Credit Analyst 22 Bishopsgate, London – Hybrid Permanent At AXA IM our purpose, to act for human progress by investing for what matters, is central to every action we take as a business. As a responsible asset manager, we actively invest for the long-term to … help our clients, our people and the world to prosper. As a future European IG and HY Credit Analyst, you will report to the Head of Euro IG & HY Credit Research, and you will be part of AXA IM Core. DISCOVER your opportunity The Credit Analyst will … contribute to the fixed income investment process supporting European Portfolio Managers by providing (1) fundamental credit analysis, including internal credit ratings, climate colours and analysis of ESG factors on a forward-looking basis; (2) relative value ideas (3) market insight on covered sectors; (3) supporting client more »
Employment Type: General Business Catchall
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Administrator

Northwich, Cheshire, North West, United Kingdom
Randstad Tech IT
Job Opportunity: Administrator - Credit (UKIE Market) Are you passionate about financial management and customer relations? Join our team as a Credit Specialist focused on recovering invoiced funds within agreed terms and optimising cash flow for our UKIE market entities. This role offers the opportunity to make a significant … impact by managing credit allocation and resolving financial issues with clients. Responsibilities: Recover funds invoiced within specified terms and company policies, ensuring compliance with legal requirements. Reduce Days Sales Outstanding (DSO) and aging provisions to enhance cash flow and profitability. Manage payment allocation and credit note processing on … for clients in collaboration with field associates. Negotiate settlements and conduct review meetings at client offices. Resolve customer complaints and verify financial transactions. Analyse credit data and financial statements to assess risk and extend credit facilities. Make decisions on releasing orders for delinquent or disputed accounts. Conduct more »
Employment Type: Contract
Rate: Up to £13.33 per hour
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Credit Analysts - VP level - NBFIs, TMT and Utilities

Greater London, England, United Kingdom
RCQ Associates - Financial Markets Specialists
A leading investment bank is seeking VP level Credit Analysts to join their expanding Corporate Credit and NBFI departments. You will be a lead analyst responsible for a portfolio across both Developed and Emerging Economies. You will have: In-depth experience of either Corporate Credit (for TMT … OR NBFIs, ideally with a portfolio of not more than 50 companies A good understanding of ISDA documentation Good communication skills Apply now! Keywords Credit analyst, credit analysis, credit ratings, corporate credit analyst, CFA, NBFIs, Non-Bank Financial Institutions more »
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IMI CIB - Structured Finance - Business Director - London

London, United Kingdom
Intesa Sanpaolo
activities & responsibilities of the vice presidents, associates and analystsLiaising and coordinating with internal stakeholdersMonitor the updating/validity of internal ratings, money laundering reassessment risk for the structured finance transactions allocated at a Transaction responsibility level as well as supervising the monitoring of periodic construction & operation reports, credit … needsEnsuring an understanding of the requirements as a Certified Person. Required Experience• minimum 7-8 years' experience in structured finance transactions, including due diligence, credit analysis, execution, modelling, documentation and administration Competencies Required• A degree in finance, economics, accounting • Formal credit training• Extensive background in credit analysis and financial modelling • practical knowledge of financial products, finance, accounting, and documentation Proficient with MS Office Suite including MS Word, Excel, Power Point Competencies• Strong credit, analytical and financial modelling skills • Exceptional verbal and written communication skills to deal with a wide variety of internal and more »
Salary: £ 70 K
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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 … 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 more »
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Credit Analyst - Structured Finance

London, England, United Kingdom
Legal & General
talent. We are clear on what we stand for and our commitment to inclusivity anchors our behaviours. Job Description We’re recruiting for a Credit Analyst - Structured Finance to join our Credit Ratings Team.The Credit Analyst will assume primary responsibility of the structured finance sector, actively supervising … the investigation and presenting their recommendations in both Credit and Investment Committees. What you'll be doing: Credit rating analysis for new transactions, as part of the deal team, maintaining an effective working relationship with originating teams throughout the process. In collaboration with the origination team gather … internal criteria in response to external evolution Data management, identifying, designing and implementing internal process improvement Qualifications Who we're looking for: Financial and credit analysis experience in the structured finance sector. Exposure to CLO and/or equity release mortgages would be considered an advantage. Experience of more »
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Python Developer Software Engineer AWS Finance Trading London

London, United Kingdom
Hybrid / WFH Options
Joseph Harry Ltd
Python Developer (Software Engineer Programmer Developer Python Fixed Income JavaScript Node Fixed Income Credit Rates Bonds ABS Vue Angular React Agile AWS GCP Buy Side Asset Manager Investment Management Performance Risk Attribution TypeScript Node Finance Front Office Trading Financial Services) required by our asset management client in London. … You MUST have the following: Strong experience as a Python Developer/Software Engineer/Programmer Good Python Experience working in Fixed Income (rates, credit, bonds, ABS) Some Front End ability (Vue, React or Angular good but not necessary) Agile The following is DESIRABLE, not essential: AWS or GCP … Buy-side Data tools such as Glue, Athena, Airflow, Ignite, DBT, Arrow, Iceberg, Dremio Fixed Income performance, risk or attribution TypeScript and Node Role: Python Developer (Software Engineer Programmer Developer Python Fixed Income JavaScript Node Fixed Income Credit Rates Bonds ABS Vue Angular React Agile AWS GCP Buy more »
Employment Type: Permanent
Salary: GBP Annual
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Head of Credit - Intl Bank

City Of London, England, United Kingdom
Market Talent Ltd
Our client, a prestigious international bank, is seeking a Head of Credit to join their esteemed office in the City of London. This is a key leadership role where you will be instrumental in upholding the highest standards of credit quality at the approval stage, meticulously monitoring the … credit portfolio, and ensuring strict compliance with Group policies and local regulatory guidelines. This position presents a unique opportunity to make a significant impact within a dynamic and forward-thinking bank. This is a hybrid role, requiring 3 days in the office. Key Responsibilities: Establish and maintain a structured … end-to-end independent review process for the Credit Approval/Sanction Unit. Develop and monitor key performance metrics related to risk mitigation, review quality, and efficient processing of credit proposals. Objectively assess and approve credit proposals within delegated authority, identifying key risk issues and more »
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High Yield Credit Research Analyst – Associate/VP

London Area, United Kingdom
Confidential
Our client, a well-respected investment management firm, are seeking to add a talented credit research analyst to their London based fixed income team. This is an excellent opportunity to join a high-performing and growing team, working alongside the portfolio managers, analysts and traders to conduct research on … the global high yield corporate credit market. The ideal candidate will therefore be able to demonstrate the following: Proven experience in research/analysis and presentation of investment ideas across the high yield credit market to the portfolio management team Strong communication skills when liaising with the … PMs, other analysts and the traders and in presenting ideas Well developed fundamental credit analysis skills, including financial modelling, analysis of legal documents and valuation analysis The ability to liaise and develop their sell-side and advisory professional network to further support industry/sector research more »
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Fluent Mandarin Relationship Manager Corporate Banking

City of London, London, United Kingdom
Barbara Houghton Associates
multinational companies, with quality products and services. Provide advice to clients, negotiate and structure products and services that meet clients needs, prepare and present credit proposal/credit analysis reports for the bank; Assist clients with a wide range of requests as a direct point of contact … Initiate credit proposal, follow up the whole credit approval process of the Bank (including approval from Head Office if necessary) and implement post lending management for the managed credit portfolio. Skills/Experience: 2-3 years of practical experiences in a corporate banking RM role with a more »
Employment Type: Permanent
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Director, Credit Solutions

London Area, United Kingdom
LIQUiDITY Group
financial institutions including Japan’s largest bank, MUFG, Spark Capital, and Apollo Asset Management. About the role We're on the lookout for accomplished credit professionals to assume the role of Director within our debt fund, specializing in tech sector lending in London. You will be joining a global … intelligence on your side, engaging in dynamic structuring of growth stage deals across the tech ecosystem. You love taking a deal from the initial analysis through to the funding process including negotiating directly with the company, drawing up investment memos, and presenting them to the investment committee. Your competitive … delivery and cultivate strong borrower relationships Oversee ongoing portfolio monitoring to maintain a deep understanding of borrower performance Do you have: Demonstrable experience in credit analysis and deal structuring, preferably within the technology sector A strong track record of leading successful financial transactions, with a focus on growth more »
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Director, Private Credit

London Area, United Kingdom
Futura Search Partners
delivery and cultivate strong borrower relationships Oversee ongoing portfolio monitoring to maintain a deep understanding of borrower performance Do you have: Demonstrable experience in credit analysis and deal structuring, preferably within the technology sector A strong track record of leading successful financial transactions, with a focus on growth more »
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Director | Corporate Banking | Natural Resources (Mining, Energy & Power) | London

London Area, United Kingdom
Selby Jennings
the Natural Resources (Mining, Energy and Power) sector. University Degree or MBA, CFA or CA designation encouraged but not required. Previous corporate banking or credit analysis experience. Strong financial modeling skills and accounting knowledge. Advanced Microsoft Suite skills (Excel, Word, PowerPoint). Excellent written and verbal communication skills. more »
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Portfolio Manager, Credit

Greater London, England, United Kingdom
Confidential
We're presently advising a large global asset manager on their 2024 growth within global fixed income and credit markets. As part of these expansion plans, a key hire will be for a senior credit portfolio manager in London. this role will focus on the ongoing build of … both a European and global credit platform across liquid credit - investment grade, crossover and high yield (bonds, CDS, etc.). The ideal candidate will be able to demonstrate significant credit portfolio management within European fixed income, and must possess appropriate L/S strategy experience, alongside a … proven track record of exceptional risk management, portfolio construction and fundamental credit analysis. The successful candidate will join an international leader within the FICC markets, and will benefit from fantastic management support and a platform well-suited to credit trading and investment. more »
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Credit Risk Analysis
10th Percentile
£71,250
25th Percentile
£89,250
Median
£110,000
75th Percentile
£130,625
90th Percentile
£143,750