Risk, Credit Risk – Corporates, Associate
Job in
London, Greater London, W1B, England, UK
Listed on 2026-09-09
Listing for:
Goldman Sachs
Full Time
position Listed on 2026-09-09
Job specializations:
-
Finance & Banking
Risk Manager/Analyst, Credit Analyst, Corporate Finance, Financial Analyst
Job Description & How to Apply Below
You will be responsible, from a Credit Risk standpoint, for a portfolio of EMEA Corporate clients, and you will be expected to manage it on the basis of a deep understanding of credit fundamentals, market trends, impact of changing regulatory requirements and risks associated with lending and derivatives transactions. TEAM OVERVIEW Credit Risk works closely with the CRO / senior management to manage Goldman Sachs’ credit risk.
Credit professionals protect the firm’s capital by using in-depth knowledge of our clients, markets, and trading products to make decisions on acceptable level of firm’s risk appetite. Staffed with 300 professionals, Credit Risk operates through 11 different offices around the world. Credit Risk provides a unique opportunity to develop a variety of professional skills and expertise in risk management while working on financial transactions.
RESPONSIBILITIES Assist in assessing the credit and financial strength of the firm's corporate borrowers and counter parties by performing fundamental credit analysis using both quantitative and qualitative factors.
Support the review of lending and underwriting transactions (such as LBO, M&A, and relationship lending), contributing to the determination of risk appetite and regulatory ratings, by analysing cash flow projections and key documentation protection.
Contribute to regular sector analysis to help assess portfolio concentrations or trends.
Collaborate with Investment Banking/Financing group, Sales & Trading, Legal, Operations, and Compliance departments to support the approval of derivatives business and ensure appropriate documentation, limits, and risk mitigants to protect against counter party default and minimize potential losses.
Analyse the risks inherent in the products transacted by the firm, including lending, trading, and derivative products.
Support the management of relationships with other areas of the firm, including Investment Banking, Asset Management, Global Markets, Controllers, Treasury, Legal, Compliance, and Technology.
BASIC QUALIFICATIONS Minimum of 3 years of credit risk management experience, with a background in corporate credit risk.
Experience in investment banking products including loan products and derivatives.
Demonstrable ability to contribute to independent decision-making processes and support client and business negotiations.
Familiarity with regulatory rating requirements and application of such guidance.
Strong documentation (loan and/or derivatives), analytical, presentational, and communication skills.
Ability to work effectively within a diverse deal team, taking guidance from and supporting senior members of the team.
Ability to communicate clearly and concisely within the firm, with the confidence to present transaction analyses and credit recommendations to senior management.
Proficiency in MS Excel (including financial modelling, cash flow forecasting, and sensitivity analysis). Fluency in English (written and spoken); professional proficiency or fluency in German is a plus for managing local EMEA relationships.
Progress toward or interest in pursuing professional certifications such as the CFA (Chartered Financial Analyst) or FRM (Financial Risk Manager) is an advantage.
COMPETENCIES Functional Expertise
- Actively learns and keeps up-to-date with relevant business, economic, and market trends.
Technical Skills
- Demonstrates foundational technical skills required for the role, pays attention to details, and takes initiative to broaden knowledge and apply…
Position Requirements
10+ Years
work experience
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