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Credit Risk Manager (Retail & Investment)

Posted a month ago

  • London, Greater London
  • Any
  • External
  • Expired - 2 months ago
Job ID:A16-084120Job Type:PermanentLocation:LondonRegion:InternationalLondon (WC) / RemoteAn expanding European bank has an opportunity for a Credit Risk Manager to join their Portfolio Management team in London.The RoleDeveloping and improving existing management information of loan portfolios.Employing a range of analytical and visualisation tools such as Tableau/Power BI, Jupyter notebooks.Analysing investment proposals and presenting your results to the bank’s credit committee.Analysing financial data and structural risks in respect of facility proposals from the investment team.Supporting potential portfolio acquisition through due diligence, data analysis and engagement with third parties.Working across other teams to ensure any trends (e.g., provisions, NPLs, RWAs) are identified and escalated.Developing, maintaining and improving credit risk strategies throughout the credit lifecycleInvestigating the causes of data errors, and working with other colleagues to solve the issues.Contributing productively to the team objectives, sometimes supporting and sometimes leading activitiesYour ExperienceExperience in retail credit risk – mortgages, loans, cards…Bachelor’s degree or better and a strong interest in data analysis and programming.Strong foundation in SQL, ETL (extract-transform-load), and databases more generally.Experience in working with at least one programming language, and a willingness to become proficient in Python.Ability to manage your own time, schedule projects to tight deadlines, excellent attention to detail and good spoken and written communication skills.Banking experience is preferred, not essential.Fluency in one European language (German, Dutch, French) advantageous, but not essential.
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