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Senior Portfolio Intelligence & Risk Lead

Wayflyer

Greater London

Hybrid

GBP 65,000 - 85,000

Full time

Today
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Job summary

A dynamic financial solutions company in Greater London is looking for an experienced Portfolio Manager to enhance credit decision-making and portfolio performance. The role involves collaborating with cross-functional teams to develop strategies based on portfolio data analysis. Ideal candidates will have over 6 years of experience in credit risk management, strong BI tool skills, and a strategic mindset to influence decisions. This position supports a hybrid working environment with competitive benefits.

Benefits

25 days paid annual leave
Private healthcare
Life insurance
Critical illness cover
Pension plan
Generous parental leave
Remote work options

Qualifications

  • 6-8+ years of experience in credit risk or portfolio strategy.
  • Understanding of SME or Ecommerce credit.
  • Proven ability to translate data into strategic recommendations.
  • Experience analyzing loss performance and using insights.
  • Strong presentation skills for senior leadership.

Responsibilities

  • Manage portfolio performance and risk decisions.
  • Lead monitoring and performance reviews for insights.
  • Develop portfolio reporting for senior leadership.
  • Build dashboards and KPIs for portfolio management.
  • Align objectives with Revenue and Underwriting teams.
  • Learn from portfolio performance to refine strategies.
  • Champion a culture of data-driven decision making.

Skills

Credit risk analysis
Portfolio strategy
Data interpretation
BI tool proficiency (Looker, Power BI)
Attention to detail

Education

Bachelor's degree in finance or related field
Advanced degree or professional qualifications (CFA, FRM)

Tools

SQL
Python
Power BI
Job description
A dynamic financial solutions company in Greater London is looking for an experienced Portfolio Manager to enhance credit decision-making and portfolio performance. The role involves collaborating with cross-functional teams to develop strategies based on portfolio data analysis. Ideal candidates will have over 6 years of experience in credit risk management, strong BI tool skills, and a strategic mindset to influence decisions. This position supports a hybrid working environment with competitive benefits.
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