Credit Risk Manager

Morgan McKinley
London
GBP 60,000 - 80,000
Job description

About the job

Our client, a Leading FX/Payments Institution, are looking for a Credit Risk Manager to join their Credit Risk team based in London.

Responsibilities:

  1. Credit Decisioning: Develop and enhance credit decisioning and risk management capabilities essential for our growth and future business initiatives.
  2. Credit Risk Strategy: Define and lead a comprehensive credit risk strategy, integrating Risk Appetite as a core element. Apply a risk perspective to policies, maximizing credit access and value creation while mitigating risks.
  3. Implementation: Ensure a seamless credit approval process with thorough documentation of committee approvals and compliance with terms.
  4. Portfolio Management: Monitor portfolio performance, early indicators, and external factors, including market, regulatory, and macroeconomic trends impacting credit portfolio performance.
  5. Margin Call Management: Design and generate intra-day and inter-day margin reports. Automate margin call notices and triggers, and collaborate closely with Account Managers to address and neutralize deficits.

Previous experience within Credit Risk and FX or Payments is essential.

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