Head of Credit & Private Markets Risk β€” Flexible Work in London

Head of Credit & Private Markets Risk β€” Flexible Work in London

London Full-Time 63000 - 77000 Β£ / year (est.) Home office (partial)
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At a Glance

  • Tasks: Lead a team to oversee credit and private markets risk management.
  • Company: Join Aviva, a leading global insurance and investment company.
  • Benefits: Flexible work options, competitive salary, and career development opportunities.
  • Other info: Collaborate with senior stakeholders in a dynamic and supportive environment.
  • Why this job: Shape risk frameworks and make impactful decisions in a high-visibility role.
  • Qualifications: Proven leadership experience in risk management and strong analytical skills.

The predicted salary is between 63000 - 77000 Β£ per year.

Aviva is recruiting for a Head of Credit Risk & Private Markets Investment Risk to join our Chief Risk Officer function.

This is a high-visibility leadership role overseeing independent second line risk across global credit and private markets investments.

You will lead a team, shape the Investment & Credit Risk Framework, and collaborate with senior stakeholders to drive effective risk oversight for assets including real estate, private debt and liquid credit.

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Head of Credit & Private Markets Risk β€” Flexible Work in London employer: Aviva

Aviva is an excellent employer for a Senior Business Analyst, offering a dynamic hybrid working environment in Bristol or York. With a strong focus on employee growth and flexible working arrangements, Aviva fosters a collaborative culture that empowers individuals to thrive while contributing to significant transformation programmes in Third Party Risk Management. The company provides competitive benefits and the opportunity to engage in meaningful projects that drive real impact across multiple markets.

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Contact Details:

Aviva Recruitment Team

We think you need these skills to ace Head of Credit & Private Markets Risk β€” Flexible Work in London

Leadership Skills
Risk Management
Investment Risk Framework Development
Stakeholder Collaboration
Credit Risk Assessment
Private Markets Knowledge
Real Estate Investment Understanding