Portfolio Risk Manager – Invoice Finance/Fintech– London
Portfolio Risk Manager – Invoice Finance/Fintech– London

Portfolio Risk Manager – Invoice Finance/Fintech– London

London Full-Time 43200 - 72000 £ / year (est.) No home office possible
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At a Glance

  • Tasks: Manage invoice finance risks and collaborate with teams to ensure smooth operations.
  • Company: Join a leading fintech innovating cashflow management solutions for businesses.
  • Benefits: Enjoy a competitive salary, comprehensive benefits, and a generous bonus scheme.
  • Why this job: Be part of a growth phase in a fast-paced environment that values creativity and impact.
  • Qualifications: Experience in invoice finance risk management and strong communication skills are essential.
  • Other info: Contact M2 Professional Recruitment Services for inquiries or visit their website for more details.

The predicted salary is between 43200 - 72000 £ per year.

Our client is a leading fintech company offering innovative cashflow management solutions to help business owners grow while alleviating cashflow concerns. Currently in a growth phase, they seek an enthusiastic and creative individual eager to make a difference and disrupt the industry.

About the role

The successful candidate will have invoice finance risk experience, preferably within fintech, and enjoy working in a fast-paced environment. Reporting to the Head of Risk, you will collaborate with risk, sales, and operations teams on responsibilities such as reviewing and underwriting new deals, preparing arrears reports, and client statements to maintain excellent client relationships while minimizing lending risks.

Responsibilities

  • Onboarding new clients with the sales team
  • Updating and suggesting improvements within the software platform
  • Preparing and sending legal documents
  • Conducting debt verification
  • Managing work streams following partner client management calls
  • Preparing and circulating reports, including:
  • Weekly arrears meeting minutes
  • Weekly client management meeting minutes
  • Weekly client management risk reports
  • Monthly client statements

Requirements

The ideal candidate will have a solid background in invoice finance and fintech risk management. Key requirements include:

  • Excellent communication skills and attention to detail
  • Strong integrity and professional ethics

The role offers a market-leading salary, a comprehensive benefits package, and a generous bonus scheme.

Portfolio Risk Manager – Invoice Finance/Fintech– London employer: Business Money Promotions Ltd

As a leading fintech company based in London, we pride ourselves on fostering a dynamic and innovative work culture that empowers our employees to make a real impact in the cashflow management sector. With a strong focus on professional development, we offer extensive growth opportunities, competitive salaries, and a comprehensive benefits package, ensuring that our team members thrive both personally and professionally while contributing to our mission of transforming the industry.
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Contact Detail:

Business Money Promotions Ltd Recruiting Team

StudySmarter Expert Advice 🤫

We think this is how you could land Portfolio Risk Manager – Invoice Finance/Fintech– London

Tip Number 1

Familiarise yourself with the latest trends in fintech and invoice finance. Understanding the current landscape will not only help you during interviews but also demonstrate your genuine interest in the industry.

Tip Number 2

Network with professionals in the fintech space, especially those involved in risk management. Attend industry events or join relevant online forums to make connections that could lead to valuable insights or referrals.

Tip Number 3

Prepare to discuss specific examples of how you've managed risk in previous roles. Highlighting your experience with underwriting and client management will show that you're ready to hit the ground running.

Tip Number 4

Research the company’s culture and values. Tailoring your approach to align with their mission can set you apart from other candidates and demonstrate that you’re a good fit for their team.

We think you need these skills to ace Portfolio Risk Manager – Invoice Finance/Fintech– London

Invoice Finance Expertise
Risk Management
Fintech Knowledge
Client Onboarding
Legal Document Preparation
Debt Verification
Report Preparation
Attention to Detail
Excellent Communication Skills
Collaboration Skills
Problem-Solving Skills
Data Analysis
Integrity and Professional Ethics
Adaptability in Fast-Paced Environments

Some tips for your application 🫡

Tailor Your CV: Make sure your CV highlights your experience in invoice finance and fintech risk management. Use specific examples that demonstrate your skills in underwriting, client onboarding, and report preparation.

Craft a Compelling Cover Letter: Write a cover letter that showcases your enthusiasm for the role and the company. Mention how your background aligns with their needs and express your eagerness to contribute to their growth and innovation.

Highlight Relevant Skills: In your application, emphasise your excellent communication skills, attention to detail, and professional ethics. These are key attributes the company is looking for, so make sure they stand out.

Proofread Your Application: Before submitting, carefully proofread your application materials. Check for any spelling or grammatical errors, as well as ensuring that all information is clear and concise.

How to prepare for a job interview at Business Money Promotions Ltd

Showcase Your Invoice Finance Knowledge

Make sure to brush up on your understanding of invoice finance and risk management. Be prepared to discuss specific examples from your past experience that demonstrate your expertise in this area, as it will be crucial for the role.

Demonstrate Your Communication Skills

Since excellent communication is key for this position, practice articulating your thoughts clearly and concisely. You might be asked to explain complex concepts, so think about how you can simplify your explanations for different audiences.

Prepare for Scenario-Based Questions

Expect to face scenario-based questions that assess your problem-solving skills and ability to manage risks. Think of situations where you successfully mitigated risks or improved processes, and be ready to share those stories.

Research the Company and Its Culture

Familiarise yourself with the fintech landscape and the specific company’s mission and values. Showing that you understand their innovative approach to cashflow management will demonstrate your enthusiasm and fit for the role.

Portfolio Risk Manager – Invoice Finance/Fintech– London
Business Money Promotions Ltd
Location: London
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