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Counterparty Credit Risk Manager VP
Job in
London, Greater London, W1B, England, UK
Listed on 2026-10-08
Listing for:
CER Financial
Full Time
position Listed on 2026-10-08
Job specializations:
-
Finance & Banking
Risk Manager/Analyst
Job Description & How to Apply Below
PER ANNUMRECRUITER: | Simon Blau Counter party Credit Risk Manager VPCity of London Hybrid (3/2 split) Permanent 90 - 110kcer Financial are working alongside an exciting international bank, who are based in the City of London. They are seeking a Counter party Credit Risk Manager VP to work with them on a permanent basis.
The responsibilities of the Counter party Credit Risk Manager VP will include:
· Led Trading Credit Risk management across London and EMEA, ensuring timely risk decisions and regional oversight
· Managed and enhanced Trading Credit Risk Appetite, monitoring, reporting, and governance frameworks
· Oversaw daily counter party risk monitoring, exposure analysis, and escalation of key risk drivers
· Contributed to Credit & Counter party Risk Committees with risk reporting, commentary, and recommendations
· Maintained and enhanced risk policies, procedures, and governance frameworks in line with BCBS guidelines
· Worked closely with Front Office, senior stakeholders, and regional entities to ensure consistent risk management practices
· Automated exposure monitoring and reporting processes to improve efficiency and controls
· Reviewed and approved trading credit risk documentation, including ISDA/CSA, GMRA, GMSLA, and MSFTA agreements
· Managed large derivatives, fixed income, and securities financing portfolios across EMEA
· Provided leadership, mentoring, and support to junior trading credit risk staff
The successful candidate will have:
· Counter party credit risk management expertise (Potential Exposure, Wrong Way Risk, Stress Testing)
· Strong knowledge of Fixed Income and Derivative products (Bonds, Repos, Derivatives)
· Advanced Excel and basic programming skills for analysis and automation
· Experience with Power BI, Tableau, and data visualisation tools
· Credit analysis experience across corporates, financial institutions, hedge funds, NBFIs, and SPVs
· Understanding of collateral, master agreements, and risk mitigation techniques
· Proficient in Excel, PowerPoint, Bloomberg, Prism, G , and Power BI dashboards
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