Credit Risk Analyst
Manage credit risk for a portfolio of fund clients while supporting trading across FX, swaps, repo, and equity derivatives. It requires close collaboration with front-office teams, strong data analysis skills, and the ability to streamline onboarding and monitoring processes to enhance risk management and time-to-trade efficiency. Client Details Central London based global investment bank known for stability, innovation, and a culture that empowers people to deliver high-impact work for a leading institution. Description Evaluate and analyse credit risk across various portfolios within the banking and financial services department.Develop and maintain credit risk models.Monitor and report on credit risk exposures, ensuring compliance with regulatory requirements.Provide insights and recommendations to senior management regarding credit risk policies.Perform end-to-end credit analysis on institutional fund clients, including financial assessment, exposure measurement, and the assignment of credit limits.Ensure all credit approvals align with internal risk appetite, regulatory standards, and market best practice.Lead the full onboarding process for clients trading products such as FX, Bilateral and Cleared Swaps, Repo, and Equity Derivatives.Coordinate with legal, compliance, operations, and onboarding teams to ensure seamless and timely activation for trading. Profile A successful Credit Risk Analyst should have: A strong academic background in finance, economics, or a ..... full job details .....
Other jobs of interest...
Perform a fresh search...
-
Create your ideal job search criteria by
completing our quick and simple form and
receive daily job alerts tailored to you!