Portfolio Risk Analyst – Asset Finance – Greater London
Portfolio Risk Analyst – Asset Finance – Greater London

Portfolio Risk Analyst – Asset Finance – Greater London

Full-Time 36000 - 60000 £ / year (est.) No home office possible
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At a Glance

  • Tasks: Analyse portfolio trends and produce insightful reports to support decision-making.
  • Company: Leading provider of vendor and equipment finance in Greater London.
  • Benefits: Competitive salary, bonus, and excellent benefits package.
  • Why this job: Join a top player in the industry and make your hard work count.
  • Qualifications: Strong analytical skills, experience with Power BI, and a background in financial services.
  • Other info: Opportunity for career growth and recognition in a dynamic environment.

The predicted salary is between 36000 - 60000 £ per year.

Competitive Salary, Bonus and excellent Benefits package. James George Recruitment is working closely with a leading provider of vendor and equipment finance, supporting a wide range of industries to arrange finance for a variety of “Hard” and “soft” assets.

This Portfolio Risk Analyst position sits within the Credit Risk function and focuses on portfolio analysis, automated decisioning systems, and collections activity. You will analyse trends, produce insightful reporting, and support Risk, Sales, Business Development, and Collections teams with data-driven insights to support effective decision-making and continuous improvement.

Key Responsibilities
  • Produce and test portfolio and risk reports
  • Analyse portfolio trends and performance
  • Support and develop automated credit decisioning tools
  • Merge, manage, and analyse data from multiple sources
  • Deliver standard and bespoke reports to stakeholders
  • Identify data quality issues and recommend improvements
  • Support ad-hoc analysis and project work
Skills & Experience
  • Strong analytical and problem-solving skills
  • Experience with Power BI, Dataverse, and advanced Excel
  • Background in leasing or financial services is strongly preferred
  • Ability to communicate complex data clearly to non-technical audiences
  • Strong organisational skills and attention to detail
  • Ability to work independently and collaboratively

This is a great opportunity to join a top player in the industry where your hard work and success will really be noticed and rewarded.

Portfolio Risk Analyst – Asset Finance – Greater London employer: Asset Finance International

As a leading provider of vendor and equipment finance in Greater London, we pride ourselves on fostering a dynamic work culture that values innovation and collaboration. Our employees enjoy a competitive salary, a comprehensive benefits package, and ample opportunities for professional growth, all while contributing to impactful projects that drive the success of various industries. Join us to be part of a team where your contributions are recognised and rewarded, making a meaningful difference in the world of finance.
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Contact Detail:

Asset Finance International Recruiting Team

StudySmarter Expert Advice 🤫

We think this is how you could land Portfolio Risk Analyst – Asset Finance – Greater London

Tip Number 1

Network like a pro! Reach out to people in the industry, attend events, and connect on LinkedIn. You never know who might have the inside scoop on job openings or can put in a good word for you.

Tip Number 2

Prepare for interviews by researching the company and its culture. Understand their products and services, especially in asset finance. This will help us tailor our answers and show that we’re genuinely interested.

Tip Number 3

Practice makes perfect! Do mock interviews with friends or use online resources. Focus on articulating your analytical skills and experience with tools like Power BI and Excel, as these are key for the Portfolio Risk Analyst role.

Tip Number 4

Don’t forget to apply through our website! It’s the best way to ensure your application gets noticed. Plus, we love seeing candidates who take the initiative to engage directly with us.

We think you need these skills to ace Portfolio Risk Analyst – Asset Finance – Greater London

Analytical Skills
Problem-Solving Skills
Power BI
Dataverse
Advanced Excel
Data Analysis
Communication Skills
Organisational Skills
Attention to Detail
Portfolio Analysis
Automated Decisioning Systems
Data Management
Reporting Skills
Collaboration Skills

Some tips for your application 🫡

Tailor Your CV: Make sure your CV is tailored to the Portfolio Risk Analyst role. Highlight your analytical skills and experience with tools like Power BI and Excel, as these are key for us. Show how your background in leasing or financial services makes you a great fit!

Craft a Compelling Cover Letter: Your cover letter is your chance to shine! Use it to explain why you're passionate about this role and how your skills can help us improve our portfolio analysis and decision-making processes. Keep it concise but impactful!

Showcase Your Problem-Solving Skills: In your application, don’t forget to mention specific examples where you've tackled complex data issues or improved reporting processes. We love seeing how you’ve used your analytical skills to drive results in previous roles!

Apply Through Our Website: We encourage you to apply directly through our website. It’s the best way for us to receive your application and ensures you’re considered for this exciting opportunity. Plus, it shows you’re keen on joining our team!

How to prepare for a job interview at Asset Finance International

Know Your Numbers

As a Portfolio Risk Analyst, you'll be dealing with data all the time. Brush up on your analytical skills and be ready to discuss specific examples of how you've used data to drive decisions in the past. Familiarise yourself with Power BI and advanced Excel functions, as these will likely come up during the interview.

Understand the Business

Get to know the company’s role in vendor and equipment finance. Research their key industries and understand the types of assets they finance. This knowledge will help you tailor your answers and show that you're genuinely interested in the position and the company.

Prepare for Scenario Questions

Expect questions that ask you to analyse trends or solve hypothetical problems related to portfolio risk. Practice articulating your thought process clearly, as you'll need to communicate complex data insights to non-technical audiences. Use the STAR method (Situation, Task, Action, Result) to structure your responses.

Showcase Your Team Spirit

This role requires collaboration with various teams like Risk, Sales, and Collections. Be prepared to share examples of how you've worked effectively in a team setting. Highlight your organisational skills and attention to detail, as these are crucial for supporting ad-hoc analysis and project work.

Portfolio Risk Analyst – Asset Finance – Greater London
Asset Finance International
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