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Credit Risk Analyst

Exalto Consulting

Bank

Hybrid

GBP 50,000 - 70,000

Full time

Today
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Job summary

A prestigious financial services organisation is seeking a Credit Risk Management Analyst based in London. The role involves preparing technical documentation and regulatory responses while analyzing credit portfolio data to support asset quality monitoring. The ideal candidate will have strong Excel skills, experience in financial services, and knowledge of credit risk principles. This opportunity offers exposure to high-impact projects and senior stakeholders, alongside a competitive salary and benefits package. Apply immediately to be considered for this urgent requirement.

Benefits

Competitive salary
Benefits package
Collaborative work environment

Qualifications

  • Strong Excel skills including advanced formulas and data reporting.
  • Minimum of 3 years of experience in financial services.
  • Knowledge of ECL and ICAAP is mandatory.

Responsibilities

  • Prepare technical documentation and regulatory responses ensuring compliance.
  • Analyze credit portfolio data to support monitoring.
  • Craft reports for senior stakeholders.

Skills

Excel skills
Technical documentation writing
Regulatory responses
Communication skills
Stakeholder engagement

Tools

SQL
Power BI
Job description
Credit Risk Management Analyst

Location: London, UK (hybrid - 3 days onsite in Central London)

Are you passionate about using data insights to influence strategic decisions? Do you excel at writing technical documents and regulatory responses while working with complex datasets? If so, we want to hear from you.

A prestigious financial services organisation are seeking a Credit Risk Management Analyst to support business strategy by delivering timely analysis, management information, and regulatory reporting. This is a hands‑on role offering exposure to high-profile projects, senior committees, and cross‑functional collaboration.

Responsibilities
  • Preparing technical documentation and regulatory responses, ensuring accuracy and compliance.
  • Analysing and interpreting credit portfolio data to support asset quality monitoring and early warning indicators.
  • Crafting clear, insightful reports and presentations for senior stakeholders.
  • Collaborating across multiple teams to deliver enterprise-wide reporting solutions.
Essential
  • Strong Excel skills (advanced formulas, pivot tables, data manipulation, and reporting).
  • Experience writing technical documents and regulatory responses.
  • Familiarity with credit risk principles, lending concepts, and risk management frameworks.
  • Excellent communication and stakeholder engagement skills.
  • Experience in financial services (minimum 3 years).
  • Knowledge of ECL (Expected Credit Loss) and/or ICAAP (Internal Capital Adequacy Assessment Process) is mandatory.
Desirable
  • SQL for data extraction and automation.
  • Power BI or similar BI tools for dashboard creation and data visualisation would advantageous.
Why Apply?
  • Opportunity to work on high-impact projects within a leading financial institution.
  • Exposure to senior stakeholders and regulatory committees.
  • Collaborative and supportive team environment.
  • Competitive salary and benefits package.

This is an urgent requirement so please apply immediately to be considered.

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