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Head of Credit and Country Risk (2nd Line of Defence)

Page Executive

City Of London

Hybrid

Confidential

Full time

Today
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Job summary

A leading UK bank is seeking a strategic leader for their Credit and Country Risk function. The role involves developing risk frameworks, overseeing credit risk assessments, and leading a high-performing team. Candidates should have a degree in a relevant field, proven leadership in Credit Risk, and strong expertise in sovereign risk analysis. Benefits include a hybrid working model and a competitive pension scheme.

Benefits

Hybrid working model
Competitive pension scheme (up to 10% employer contribution)
Life Assurance (4x salary)
Group Income Protection
Private Medical Insurance (including Optical, Dental, Audiology)
Discretionary Bonus
Generous Annual Leave
2 Volunteering Days
Access to Benefit Hub

Qualifications

  • Proven leadership in Credit Risk within banking or financial services.
  • Experience in emerging and frontier markets is highly desirable.
  • Excellent communication, stakeholder management, and decision-making skills.

Responsibilities

  • Lead the evolution of Credit Risk frameworks, policies, and processes.
  • Provide oversight on assessments of economic, political, legal, and social factors.
  • Lead and develop a high-performing Credit and Country Risk team.

Skills

Leadership in Credit Risk
Sovereign/Country Risk analysis
Stakeholder management
Financial analysis

Education

Degree in Economics, Finance, Risk Management or related field
CFA or postgraduate qualification
Job description
Overview

About Our Client

A rapidly expanding, regulated UK bank specialising in FX and cross-border payments across emerging and frontier markets. The organisation is transforming how money moves globally by reducing friction, improving reliability, and increasing transparency. Through a combination of deep market relationships and innovative digital capabilities, the bank enables governments, development organisations, fintechs, corporates, and financial institutions to access hard-to-reach markets with speed and confidence.

Job Description

The Role

This is a strategic leadership opportunity to shape and strengthen the bank's 2nd line of defence Credit and Country Risk function. You\'ll lead the development of robust risk frameworks, tools, and analytics, ensuring a balanced approach to risk and growth as the bank expands across diverse geographies.

Responsibilities
Credit Risk Oversight
  • Lead the evolution of Credit Risk frameworks, policies, and processes.
  • Own Credit Risk appetite settings and monitor portfolio performance.
  • Enhance assessment tools, models, and decisioning processes.
  • Drive portfolio analytics to manage risk across products and regions.
  • Collaborate with Commercial and Finance teams to align lending decisions with strategy.
  • Review and approve complex or high-value credit applications.
  • Contribute to strategic and regulatory processes (e.g. IFRS9, ICAAP, ILAAP, Pillar 3, TCFD).
Country Risk Analysis
  • Provide oversight on assessments of economic, political, legal, and social factors.
  • Develop dynamic Country Risk rating models and assessment approaches.
  • Deliver regular reports and briefings to senior management and the board.
  • Act as an internal expert on macro and sovereign risk.
Leadership & Governance
  • Lead and develop a high-performing Credit and Country Risk team.
  • Collaborate across Risk, Compliance, and Commercial functions.
  • Represent the function in governance forums and risk committees.
  • Stay ahead of global trends and best practices in Credit and Country Risk.
The Successful Applicant
Qualifications & Experience
  • Degree in Economics, Finance, Risk Management or related field; CFA or postgraduate qualification preferred.
  • Proven leadership in Credit Risk within banking or financial services.
  • Experience in emerging and frontier markets is highly desirable.
  • Strong expertise in sovereign/Country Risk analysis.
  • Deep understanding of Credit principles, financial analysis, macroeconomics, and regulatory frameworks.
  • Track record of navigating market disruptions and escalating risk insights to senior stakeholders.
  • Excellent communication, stakeholder management, and decision-making skills.
What\'s on Offer
Benefits
  • Hybrid working model
  • Competitive pension scheme (up to 10% employer contribution)
  • Life Assurance (4x salary)
  • Group Income Protection
  • Private Medical Insurance (including Optical, Dental, Audiology)
  • Discretionary Bonus
  • Generous Annual Leave
  • 2 Volunteering Days
  • Access to Benefit Hub
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