Credit Manager Vice President
Job in
1000, Amsterdam, North Holland, Netherlands
Listed on 2026-05-11
Listing for:
NatWest Group
Full Time
position Listed on 2026-05-11
Job specializations:
-
Finance & Banking
Corporate Finance, Risk Manager/Analyst, Financial Manager, VP/Director of Finance -
Management
Risk Manager/Analyst, Financial Manager
Job Description & How to Apply Below
Join us as a Credit Manager (Vice President)
- You’ll provide independent risk oversight across complex transactions, with a strong focus on project and infrastructure finance, while contributing to risk appetite definition, regulatory deliverables and governance standards
- You’ll also represent Credit Risk at senior committees and play an active role in the development of internal frameworks, models and policies
- This role offers significant exposure to senior stakeholders and strategic initiatives, alongside opportunities to further develop expertise in financial institutions, regulation and IRB modelling as a Model User
- Lead and oversee credit analysis across Structured Finance (with a strong focus on Project and Infrastructure Finance), Leveraged Finance (including sponsor and non‑sponsor owned borrowers), LBOs and acquisition financings, General Corporate Credit (covering investment‑grade and sub‑investment‑grade counter parties).Develop further expertise and coverage of Financial Institutions, including banks, NBFIs, insurers and asset managers
- Deliver independent, high-quality credit opinions and approve proposals within delegated authority
- Provide effective credit stewardship through continuous portfolio monitoring and management of Early Warning indicators
You’ll be an experienced credit professional with strong technical expertise, regulatory awareness and the confidence to operate autonomously in complex environments.
We’ll also expect you to have:
- 5+ years’ Credit Risk experience
, with core expertise in Structured and Leveraged Finance and solid experience in Corporate Lending - Strong understanding of LMA and structured finance documentation
, ISDA/CSA and other master agreements and Credit risk modelling (PD, LGD, EAD) and rating methodologies, Basel
III/IV, IFRS9 and relevant regulatory frameworks, complex financial models, transaction structures - Qualifications Masters degree in Finance, Economics, Business or a related discipline and Professional qualifications such as CFA, FRM, ACA or MBA are beneficial
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