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Credit Risk Manager (NBFI's)

JR United Kingdom

City Of London

Hybrid

GBP 60,000 - 85,000

Full time

4 days ago
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Job summary

Un établissement bancaire international en pleine croissance recherche un Credit Risk Manager basé à Londres. Le rôle comprend la gestion du risque de crédit pour un portefeuille d'institutions non bancaires, l'analyse des informations financières et le soutien à la direction senior. Le poste offre une flexibilité de travail hybride, permettant 3 jours au bureau et 2 jours à distance.

Qualifications

  • Expérience dans un environnement régulé, idéalement dans les services financiers.
  • Antécédents probants dans les performances en services financiers.
  • Minimum 2 ans d'expérience en analyse de crédit, de préférence avec des fonds/NBFI.

Responsibilities

  • Gérer un portefeuille d'institutions financières non bancaires (NBFI).
  • Effectuer des analyses de crédit détaillées des informations financières.
  • Gérer le processus de risque de crédit de bout en bout.

Skills

Gestion des risques
Analyse de crédit
Communication

Job description

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Credit Risk Manager (NBFI's), London (City of London)

Client: JSS Search

Location: London (City of London), United Kingdom

Job Category: Other

EU work permit required: Yes

Job Views: 2

Posted: 16.06.2025

Expiry Date: 31.07.2025

Job Description:

My client is a growing international bank. This role is based in London but offers hybrid working flexibility (3 days per week in the office, 2 working from home).

The Risk division encompasses the Credit Risk, Country Risk, Operational Risk, Physical Commodities Risk Assurance, Business Continuity Management, and Market Risk disciplines. Credit Risk involves rating, analysis, ongoing monitoring, and reporting of the bank's credit exposure. This role requires applying experience and knowledge of specific industry/product areas to minimize inherent credit risks while managing these risks against potential rewards.

Key Responsibilities
  • Manage a portfolio of predominantly Non-Bank Financial Institutions (NBFIs), focusing on funds, asset managers, insurance companies, and broker-dealers.
  • Perform detailed credit analysis of financial information, including reports, models, and newsletters, with appropriate sensitivity scenarios.
  • Liaise with clients to authenticate information and determine sound credit opinions.
  • Manage the end-to-end credit risk process, including liaising with Front Office on credit limits.
  • Support negotiation of legal documentation, including GMRA and ISDA with CSA.
  • Conduct risk analysis on transactions involving global markets, commodities, derivatives, and loans.
  • Assist the Front Office with time-sensitive trading requests.
  • Apply delegated authority to approve transactions and limits.
  • Monitor the creditworthiness of the portfolio using various sources and direct client contact.
  • Maintain the bank’s database of client, product, and industry information.
  • Monitor and report on customer positions, limit excesses, collateral calls, and stress testing.
  • Participate in relevant projects and New Product Processes related to credit risk management.
  • Support team members in relationship management and credit analysis tasks.
  • Provide support to senior management in credit risk oversight.
Preferred Qualifications and Experience
  • Experience working in a regulated environment, ideally in Financial Services.
  • Proven track record in Financial Services performance.
  • Minimum 2 years of credit analysis experience, preferably with funds/NBFIs.
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