Credit Risk Jobs in London

26 to 50 of 59 Credit Risk Jobs in London

Lead IFRS9 Analyst

London Area, United Kingdom
Hybrid / WFH Options
Harnham
LEAD IFRS9 ANALYST – CREDIT RISK UP TO £70,000 + PENSION + BONUS LONDON An exciting Fintech company is looking to add a hardworking, driven Credit Risk Analyst to their portfolio team. The role will involve working closely with different teams across the business whilst also … UK and have a hybrid working from home and office system providing great flexibility for its workers. THE ROLE The role is a senior credit risk analyst position which own the loss models for the business and get very hands on with analytics. You can expect to be more »
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ISDA Negotiator / Commodities Negotiator - Commodities, ISDA, OTC, Legal, Credit Risk, Documentation, Master Agreements, Contracts

Greater London, England, United Kingdom
Strategic Staffing Solutions
be an experienced Negotiator with previous skills in some of the following: Commodities, ISDA, CSA, Documentation, Legal Documents, Master Agreements, Contract Negotiation, Trading, Legal, Credit Risk, Treasury and/or Operations with previous Legal/Law firm or Paralegal/Attorney exposure. Commodities exposure is essential for this … Bachelor's degree equivalent with a minimum of two years of experience in an Operations or Legal/Trading Documentation role (including within a Credit, Risk or Treasury function) or attorney/paralegal experience within a law firm or JD Please send me your CV for an immediate 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 of more »
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Senior Relationship Director |S4 | Corporate & Commercial Banking

London, United Kingdom
Hybrid / WFH Options
Grupo Santander
Healthcare, Business Services, Industrials, Hotels & Franchises.You will take the lead responsibility on agreed deals providing the full end to end process from first stage credit approval through to final credit approval (including credit committees) and execution of the legal. The role also involves line management of a … alongside the relationship teams to ensure that the opportunity is delivered at pace with clear communication throughout the various milestonesKeeping the Regional Director and Credit Portfolio Director fully up to date on progress and timelines, alongside relevant feedbackBuilding a strong, collaborative, and productive working relationships with the underwriting teams … and members of all relevant Credit Risk forumsWorking together with Relationship Directors and Relationship Managers to act as first line of defence following the IAM Risk framework, managing all types of risk including credit, operational, conduct and reputational riskEnsuring that risk submissions, and the more »
Salary: £ 70 K
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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 »
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IRB Model Development Manager

London, United Kingdom
Hybrid / WFH Options
Exalto Consulting ltd
My banking client are looking for an IRB Model Development Manager to work in their IRB Model Development team in the Risk Analytics department. You must have; 3-5 years of IRB modelling experience, with at least 18 months in the non-retail space. End-to-end IRB modelling … IRB PD methodology experience. This is an integral role for the Bank as the team are responsible for the design and delivery of predictive credit risk measurement models relating to the Bank's capital models. These models determine the level of risk associated with individual borrowers, and … in the UK and Dublin, which represents a key strategic objective for the bank. The role involves working closely with colleagues across the Business, Credit Risk and the Chief Data Office. The IRB Model Development Manager will play a leading role in the re-development of existing and more »
Employment Type: Permanent, Work From Home
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Senior Credit Risk Analyst - Infrastructure

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

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

London, United Kingdom
BCT Resourcing
Performance Analytics team. In this position, you will be at the forefront of leveraging advanced quantitative techniques to enhance decision-making processes for Private Credit, Liquid Credit, and Private Equity Fund of Funds products Investment Products.Key Responsibilities 1 Model Development and Enhancement: * Utilise your expertise in machine learning … and deep learning to develop and refine quantitative models, such as credit risk models and alpha models, for risk assessment, portfolio optimisation, and alpha generation. * Collaborate with cross-functional teams to integrate advanced quantitative techniques into the investment process and corporate fund finance operations.* Data Analysis and … align with overall business strategies. * Work with large datasets, utilising statistical methods and machine learning algorithms to extract meaningful insights that inform investment decisions. * Risk Management: * Contribute to a well-rounded approach to managing risks across our diverse alternative investment products, corporate fund finance, and treasury management. * Monitor and more »
Salary: £ 100 K
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Senior Credit Risk Support Analyst

City of London, London, United Kingdom
GSC Direct Sourcing
checks monitoring system performance, and providing cross-application support. The Candidate must understand the technical and functional intricacies of the suite of applications for Risk and Finance that they will be supporting, including the end-to-end business impacts. They will understand the interfaces to and from their respective … relationships with application development (L3) teams and contribute towards early engagement, input, challenge and delivery of all change initiatives. * Maintain relationships with the wider risk and control functions to ensure that risks are understood, documented and mitigated with clear action plans. * Day-to-day relationships with teams from other … and availability of production services. Preferred Qualifications and Experience * Degree qualified or Bachelor's Degree in IT * 3 to 5 + years' experience in Risk and/or Finance application support Lead Role * Preferred experience working in a function of Risk and/or Finance investment banking and more »
Employment Type: Permanent
Salary: £85,000
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Analytics Team Lead

London, United Kingdom
LexisNexis Risk Solutions Group
Fraud Analytics Team Lead - LexisNexis Risk SolutionsAbout 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 … 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.comAbout our Team: As an … deliverables, ensuring that your team’s delivery is on track. Motivate your team to grow in their rolesPerforming 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 »
Salary: £ 70 K
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Model Validation

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

London Area, United Kingdom
Harrington Starr
Core/React/Svelte/Azure The Project: Our client is looking to bring in a senior software engineer to develop high-quality risk and valuation systems for the business to better maximise trading. Responsibilities Develop quality software and web applications Analyze and maintain existing software applications Working … to develop risk systems (Better understanding of traded risk/market/credit risk) Developing valuation systems for their products Must Have .NET Core React/Svelte, Strong ability with SQL Experience with developing in an Azure environment. Financial services experience and understanding of full trading more »
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Bridging Underwriter

City of London, London, United Kingdom
Hybrid / WFH Options
Kennedy Pearce Consulting
unregulated transactions To manage the underwriting and due diligence process from loan application to loan drawdown KEY RESPONSIBILITIES Make lending decisions in line with Credit Risk Policy and individual mandate level Manage a pipeline of Bridging applications from application to credit approval and drawdown to help the … PRA, Money Laundering, Prevention of Financial Crime, Data Protection, etc Work with Sales to progress cases from decision in principle to drawdown Prepare detailed credit papers with all appropriate conditions and present the proposition to Bridging Credit Committee Prepare and review offer letters Proactively ensure that all pre … case efficiently to drawdown Ensure that all post completion activities have been completed in accordance with the Bank's Policy and Process Approval of Credit Papers which are clearly and accurately drafted with a sufficient degree of background and ancillary knowledge of the case together with identification of any more »
Employment Type: Permanent, Work From Home
Salary: £50,000
Posted:

Large Exposure Manager

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

London Area, United Kingdom
Morgan McKinley
new individuals to help build out a new function within the bank Work in partnership with the Front Office and Support Functions (including Legal, Credit Risk, Operations and Product Control) to ensure Global Market transactions are executed and captured in our risk management systems, in line with … The successful candidate will contribute to the Front to Back (FTB) change delivery in collaboration with senior management across all Support Functions. Key Responsibilities Risk and Control Management Transaction Assurance reviews on selected non-standard loans and structured derivatives executed by Global Markets trade bookings and ensure the trade … covenant ratio triggers do not breach the agreed thresholds with all Support Functions to address booking discrepancies and identify process improvements to reduce Operational Risk material events in the Operational Risk Management system and report trade booking errors to senior management booking discrepancies for trends to enhance the more »
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Senior Business Analyst, Corporate Banking, Business Development (Fluency in French is essential)

London Area, United Kingdom
FirstBank UK Limited
hour lunch. Key Responsibilities: This role is to support the Corporate Banking Unit of FirstBank UK. The Bank requires a graduate with strong credit analysis and front office experience with French language being a crucial requirement. You will be supporting the Relationship Managers (RMs) and Head in origination activities … and on-going KYB requirements in a timely manner and in line with the Bank’s policies and procedures. Working closely with the Business Risk Compliance team to ensure all compliance checks are done within the required timeframe with no adverse findings by the 2LoD. Preparation and timely delivery … of credit applications with detailed financial analysis using correct data points for new and existing relationships. Working to a high degree of accuracy to avoid operational errors/losses and customer complaints Supporting the Relationship Managers with day-to-day management of client relationships and facilities, including but not more »
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Project Finance, Portfolio Management, Analyst

London Area, United Kingdom
Hybrid / WFH Options
Mizuho
join Project Finance Portfolio Management team within the European Structured Finance Division in Mizuho bank. Our Project Finance Portfolio Management team is responsible for credit risk management and administration activities for a diverse portfolio of transactions in the renewable energy, power, natural resources and infrastructure/PPP sectors. … members with the interface with key external and internal Project Stakeholders (including Sponsors, Borrowers, Project Managers, external advisers, other financial institutions, Bank Senior Management, Credit Departments, Treasury, Loan Admin and other internal departments as required). What do you need to succeed? Essential • Minimum 2 A levels • Advanced knowledge more »
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Director - Quantitative Developer

London, United Kingdom
Hybrid / WFH Options
Barclays
QA) is a global organisation of highly specialized quantitative modellers and developers. QA is led by Shu-Wie Chen, who is a member of Risk Exco.QA is responsible for developing, testing, implementing and supporting quantitative models for valuation and risk management of traded assets, regulatory and economic capital … impairments, fraud detection, asset-liability management, operational risk, net revenue and balance sheet forecasting, and stress testing across Barclays Group.About QA MarketsThe QA Markets team is responsible for the research, development and implementation of quantitative models used by the Global Markets business. The team’s modelling work applies to … a large range of financial products from flow to exotics across all asset classes, including rates, FX, inflation, equity, credit, XVA, municipals, securitized products, and commodities. The team also provides all modelling required for the equity and fixed income financing business and for the capitalization of market risk more »
Salary: £ 70 K
Posted:

Lead Data Scientist

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

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

City of London, South East, United Kingdom
GSC Direct Sourcing
checks monitoring system performance, and providing cross-application support. The Candidate must understand the technical and functional intricacies of the suite of applications for Risk and Finance that they will be supporting, including the end-to-end... APCT1_UKTJ more »
Employment Type: Full Time
Posted:

Deputy Head of Treasury

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

London Area, United Kingdom
Hybrid / WFH Options
Future find
an origination environment previously and had coverage across the full deal-cycle for leveraged cashflow transactions. This is an opportunity to join a dynamic credit team with a strong lending appetite, where you'll have exposure to multiple deal structures across a variety of sectors. You will learn by … knowledge and ability to handle complex issues. Direct experience of financial modelling and sound understanding of financial statements. Knowledge of leveraged finance structures and credit risk considerations. Interested in commercial considerations and capability to apply strategic thinking, as well as having an ambitious attitude towards self-development. Full more »
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Senior Data Scientist

London, United Kingdom
Austin Fraser
in an established business! Essential Skills (3 years): Python Azure ML and deploying algorithms in production environments SQL PowerBI Background in analysing financial information (credit risk/insurance/FX Rates/Commodity pricing) is a bonus Benefits: Flexible working and a guaranteed Bonus of 7% (or more more »
Employment Type: Permanent
Salary: £60000 - £80000/annum
Posted:
Credit Risk
London
10th Percentile
£46,750
25th Percentile
£57,500
Median
£90,000
75th Percentile
£128,750
90th Percentile
£135,000