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Credit Risk Manager

Job in Greater London, London, Greater London, W1B, England, UK
Listing for: Saxton Leigh
Full Time position
Listed on 2026-06-18
Job specializations:
  • Finance & Banking
    Banking & Finance, Risk Manager/Analyst
Salary/Wage Range or Industry Benchmark: 80000 - 100000 GBP Yearly GBP 80000.00 100000.00 YEAR
Job Description & How to Apply Below
Location: Greater London

4 days in the office.

A prestigious private bank with a significant and growing presence in the UK is seeking a Credit Risk Manager for the London business.

Key Responsibilities
  • Daily monitoring of Lombard and insurance policy shortfalls through the collateral monitoring tool breach report.
  • Liaise with CRMs to obtain action plans and deadlines by which any shortfalls will be fixed.
  • Propose/assist with alternative solutions to the CRMs to regularise shortfalls.
  • Prepare and send margin call letters to CRMs.
  • Instruct liquidation of all or part of assets to the CRM when a margin call must be executed.
  • Use of Personal Approval Authority to approve smaller shortfalls, up to delegated limit.
  • Submit Monthly Shortfall Watch List to the Local Credit Committee.
  • Set up portfolio simulations (new portfolios to move to the Business, impact when switching securities, etc).
  • Daily securities analysis for possible attribution of standard lending and weighting rates (if applicable).
  • Run stress tests / forecasts based on global and market events.
  • For complex and outside credit policy lending applications, recommended by Credit Structuring & Analysis (CSA) team, undertake a review and assessment for the Local Credit Committee Chair.
  • As required, act as deputy for Head of Credit Risk at Local Credit Committee meetings.
  • Assist risk colleagues, as necessary, with validation of payments, new loan validations, input of data / making pricing adjustments into Atlas (core banking system) and Speci Cred.
Experience

Required:
  • Background in Lombard lending.
  • Strong knowledge of financial products (options, futures, FX forwards, including netting, hedging and strategies), understand the exact risk and margining, etc, to be in a position to explain to a Banker the rational for the margins applied.
  • Strong knowledge of financial securities (CoCo bonds, Sukuk bonds, ETFs, Structured Products, CLNs, CLOs, Hedge Funds, Long Only Funds, Equities, etc).
  • Experience of lending to Private Banking clients either as CRM or in a Credit Risk related role.
  • Experience of mortgage lending, in a regulated environment, would be beneficial.
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