- Perform credit assessments and review existing and new counterparty limits, country and sector limits, while ensuring ongoing management of dealing limits and exposures
- Active risk management of the group's current assets
- Manage the internal risk grading system to conduct thorough risk assessments on third parties
- Monitor and track risk exposures, ensuring adherence to risk limits and taking appropriate actions to mitigate risks
- Participate in Credit Committee meetings
- Manage and report on the company’s diverse global portfolio of counterparties
- Evaluate, develop, and implement of risk management strategies, policies, and procedures
- Experience in risk analysis, preferably within a financial institution or a large corporation
- Analytical skills, with the ability to interpret complex data and draw meaningful insights with risk management frameworks, methodologies, and best practices of regulatory requirements and industry standards related to risk management
- Communication and presentation skills, with the ability to convey technical concepts to non-technical audiences
- Degree in finance, economics, risk management, or a related field
- Competitive basic salary
- Location: London
- Discretionary bonus structure
- Competitive company pension scheme
- Comprehensive medical and dental insurance
- Life assurance