Portfolio Risk Analyst – Asset Finance – Surrey

Asset Finance International

United Kingdom

Hybrid

GBP 45,000 - 60,000

Full time

14 days+
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Benefits offered by this job

Hybrid working
Bonus

Job summary

Asset Finance International seeks a Portfolio Risk Analyst to manage risk approvals for the Vendor and Introducer portfolio. You will review onboarding proposals from Sales, coordinate with internal departments, and ensure compliance with policy while maintaining SLAs.

Hybrid Surrey role with 2 days in office and 3 days from home. The ideal candidate understands asset finance risk and sales working together, building strong internal relationships with Risk Managers and Sales teams to drive

Qualifications

  • Experience in asset finance risk and sales functions.
  • Ability to build relationships with internal stakeholders.
  • Familiarity with reviewing lending proposals and SLAs.

Responsibilities

  • Take ownership of the deal/vendor application process and ensure timely reviews.
  • Coordinate input from Asset Management/Legal/Collections to support proposals.
  • Ensure proposals meet minimum information standards set by Sales.
  • Suggest risk conditions and documentation in line with policy.

Skills

Risk analysis
Sales collaboration
Vendor onboarding

Job description

Fantastic salary plus bonus and benefits.

Our client is a highly respected vendor and equipment finance company who operate across a broad range of assets and due to growth are looking to recruit a Portfolio Risk Analyst.

The successful candidate will manage the Risk approvals for the Vendor and Introducer portfolio, i.e. reviewing requests from Sales to onboard new introducers and increases to vendor programme limits.

The ideal candidate will have working knowledge of Risk and Sales functions within the Asset Finance industry. The ability to build relationships with internal stakeholders and work in partnership with Sales Account/Relationship and Risk Managers in the team is critical to the success of this role.

Responsibilities will include;

  • Take ownership of the deal/vendor application process, i.e. responsibility for reviewing lending proposals received from Vendors/Sales and ensuring lending proposals to the function are completed thoroughly and in a timely manner (measured by SLAs). This will involve collaborative engagement with the Risk Analysts within the wider team.
  • Work with the Sales Managers to ensure sufficient information on the proposal has been provided by the Vendors to meet the agreed minimum standard.
  • Coordinate input from other internal departments (Asset Management/Legal/Collections) to ensure proposals are supported by relevant advice.
  • Demonstrate high levels of diligence and accuracy in collating the necessary information to support the deal (i.e. exposure data/introducer limits/ adverse information) and ensure Risk conditions/documentation are suggested in line with policy.

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