Lead Credit Risk Analyst – Energy & Markets

Brook Green Supply

England

On-site

GBP 85,000 - 120,000

Full time

3 days ago
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Job summary

Brook Green Supply is a leading independent B2B energy supplier delivering tailored energy solutions. The Senior Credit Risk Analyst will lead credit risk assessments for high-value counterparties and manage portfolio monitoring, working with trading, finance and commercial teams to inform credit decisions.

The role requires strong analytical skills, experience with credit reference tools, and the ability to translate market developments into portfolio risk insights.

Qualifications

  • Two+ years' experience in a credit risk role within energy, utilities or commodities.
  • Working knowledge of electricity and/or gas industry.
  • Experience monitoring a credit portfolio using credit reference agency tools such as CreditSafe, Experian or Dun & Bradstreet.
  • Experience maintaining exposure trackers, watchlists, credit MI or similar portfolio monitoring tools.
  • Strong analytical and numerical skills with the ability to read financial data.

Responsibilities

  • Lead credit assessments for high-value or complex counterparties, including group structures and large portfolios.
  • Monitor and update credit exposures arising from physical power and gas contracts.
  • Develop, maintain and improve credit policy, approval processes and reporting frameworks.
  • Manage insurance cover levels in line with policy parameters.
  • Communicate credit decisions clearly to internal stakeholders.

Skills

Credit risk
Portfolio monitoring
Excel
Power BI
SQL
Python
Communication
Industry knowledge

Tools

CreditSafe
Experian
Dun & Bradstreet

Job description

Brook Green Supply is a leading independent B2B energy supplier delivering tailored energy solutions. The Senior Credit Risk Analyst will lead credit risk assessments for high-value counterparties and manage portfolio monitoring, working with trading, finance and commercial teams to inform credit decisions.

The role requires strong analytical skills, experience with credit reference tools, and the ability to translate market developments into portfolio risk insights.

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