Job Description
Job ID:
A16-084120
Job Type:
Permanent
Location:
London
Region:
International
London (WC) / Remote
An expanding European bank has an opportunity for a Credit Risk Manager to join their Portfolio Management team in London.
The Role
- Developing 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 lifecycle
- Investigating 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 activities
Your Experience
- Experience 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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