At a Glance
- Tasks: Lead credit risk strategies for Convera's UK and EU portfolio while ensuring compliance and best practices.
- Company: Join Convera, the largest non-bank B2B cross-border payments company globally.
- Benefits: Enjoy a competitive salary, annual bonus, flexible work, and generous insurance benefits.
- Why this job: Make a real impact in a dynamic environment with excellent career growth opportunities.
- Qualifications: Fluency in French preferred; 10-15 years of credit risk experience required.
- Other info: Be part of a diverse team that values inclusion and celebrates unique perspectives.
The predicted salary is between 72000 - 108000 £ per year.
As the Head of Credit Risk UK and Europe, based at our office in London, UK, you will be responsible for leading the development, implementation and oversight of the credit risk strategies related to the Convera UK and EU portfolio. You will ensure that all credit risk activities comply with Regulatory requirements, industry best practices and Convera's overall Credit Risk appetite.
Responsibilities
- Policy, Strategy and Governance implementation and development
- Execute and adhere to the Global Credit Risk Policy and Credit Risk Appetite Guidelines
- Ensure alignment of the European and UK Credit Risk portfolio within Convera's overall risk framework and implementation of commercial strategic objectives
- Provide expertise and support in the development, improvement or establishment of policy, procedures and strategies
- Present individual client cases and provide updates, trends and communicate credit risk insights and concerns evolving within the UK and European credit portfolio, to Senior Leadership, Credit Risk Committee, Board Meetings and any similar such forum, as necessary and as required
- Take independent responsibility for counter-party Credit Risk Approvals within personal Authorized Approval Authority
- Oversee a Team of Analysts that will carry out Credit Risk assessments of corporate counter-party creditworthiness to include quantitative and qualitative credit risk analysis and Risk Rating decisioning
- Appropriately manage workload and ensure that credit risk requests for new clients and Annual Reviews of existing client credit risks are assessed and administered in a timely and efficient manner
- Ensure effectiveness of credit risk mitigation to minimize credit risk losses, including credit limit appropriateness, transactional and structural continuity, collateral management and guarantee support
- Maintain individual client and portfolio vigilance and monitoring with regards to potential and evolving risks or deterioration in clients' financial health. Take appropriate defensive action, as necessary, and report any concerns into the appropriate level of Authority
Internal Collaboration & Stakeholder Management and Nurturing of Client Relationships
- Support the Global Head of Credit with Credit Risk strategies and projects as necessary
- As a Senior corporate Ambassador, you must represent Convera's values and principles at the highest levels, at all times and in all meetings and in all interactions with clients
- Advance Convera's market reputation and support growth, by assisting in deepening the understanding and nurturing of our client relationships
- Work expertly, collaboratively and closely with internal stakeholders to support Convera's growth, contribute towards improvements in our strategic decision-making, better understand the credit risk profile of clients and the Portfolio and further advance the internal reputation of Credit Risk Department
- Maintain relationships, and uphold Convera's reputation, with external stakeholders, as necessary, such as Regulators, Auditors and industry bodies
Leadership & Team Management
- Lead, develop, mentor and advance the careers of your Team of Credit Risk professionals
- Foster a supportive, open and collaborative working environment in adherence to Convera values, drive continuous improvement in quality and professional practices and maintain staff happiness
Qualifications
- Fluency in French strongly preferred; Fluency in English is a prerequisite
- Minimum 10-15 years of experience in Credit Risk or Financial Markets with Financial Institutions or Banks
- Bachelor's Degree (or equivalent) in Finance, Economics, Business Administration or related field; A Master's Degree or MBA is preferred
- Professional certifications such as CFA, FRM, BIC, ACIB or appropriate FCA or regulatory Exams
- Proven track record of leading and managing credit risk for Financial Institutions or Banks, through the cycle, with a deep understanding of credit risk analysis, portfolio management, documentary expertise and Regulatory compliance
- Experience in stress testing, or, financial forecasting and modelling, or, managing financial distressed clients and corporate workouts is preferred.
- Strong analytical, quantitative and qualitative skills, with the ability to assess complex financial data, risk models and challenging client situations
- Expertise in credit risk management systems and tools
- Excellent written and verbal communication skills, with the ability to present complex and challenging cases and ideas, succinctly and with appropriate solutions, to Executives and Senior Management
- Strong leadership, interpersonal, communicative and Team Management skills, with the ability to communicate and collaborate, as appropriate, with subordinates, peers, Seniors, Executives and external parties
About Convera
Convera is the largest non-bank B2B cross‐border payments company in the world. Formerly Western Union Business Solutions, we leverage decades of industry expertise and technology‐led payment solutions to deliver smarter money movements to our customers – helping them capture more value with every transaction. Convera serves more than 30,000 customers ranging from small business owners to enterprise treasurers to educational institutions to financial institutions to law firms to NGOs.
Our teams care deeply about the value we bring to our customers, which makes Convera a rewarding place to work. This is an exciting time for our organization as we build our team with growth‐minded, result‐oriented people who are looking to move fast in an innovative environment.
As a truly global company with employees in over 20 countries, we are passionate about diversity; we seek and celebrate people from different backgrounds, lifestyles, and unique points of view. We want to work with the best people and ensure we foster a culture of inclusion and belonging.
Benefits
- Market competitive salary
- Opportunity to earn an annual bonus
- Great career growth and development opportunities in a global organization
- A flexible approach to work
- Generous insurance (health, disability, life)
- Paid holidays, time‐off, and leave policies for life events (maternity, paternity, adoption)
- Paid time off for volunteering opportunities (5 days per year)
There are plenty of amazing opportunities at Convera for talented, creative problem solvers who never settle for good enough and are looking to transform Business to Business payments. Apply now!
Head of Credit Risk UK and Europe (French Speaker preferred) - London, UK London employer: Convera Holdings, LLC.
Contact Detail:
Convera Holdings, LLC. Recruiting Team
StudySmarter Expert Advice 🤫
We think this is how you could land Head of Credit Risk UK and Europe (French Speaker preferred) - London, UK London
✨Network Like a Pro
Get out there and connect with people in the industry! Attend networking events, join relevant LinkedIn groups, and don’t be shy about reaching out to current employees at Convera. A friendly chat can sometimes lead to job opportunities that aren’t even advertised!
✨Ace the Interview
Prepare for your interviews by researching Convera’s values and recent projects. Think about how your experience aligns with their needs, especially in credit risk management. Practice common interview questions and have some insightful questions ready to show your interest!
✨Showcase Your Skills
When you get the chance, demonstrate your expertise in credit risk analysis and portfolio management. Use real-life examples from your past roles to illustrate your problem-solving skills and how you’ve successfully navigated challenges in the financial sector.
✨Apply Through Our Website
Don’t forget to apply directly through the Convera website! It’s the best way to ensure your application gets seen by the right people. Plus, it shows you’re genuinely interested in being part of the team!
We think you need these skills to ace Head of Credit Risk UK and Europe (French Speaker preferred) - London, UK London
Some tips for your application 🫡
Tailor Your CV: Make sure your CV is tailored to the Head of Credit Risk role. Highlight your experience in credit risk management and any relevant qualifications, especially if you have a background in financial institutions or banks.
Craft a Compelling Cover Letter: Your cover letter should tell us why you're the perfect fit for this position. Share specific examples of your leadership in credit risk strategies and how you've successfully managed teams in the past.
Showcase Your Language Skills: Since fluency in French is preferred, don’t forget to mention your language skills prominently. If you have experience working in bilingual environments, let us know!
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 at Convera!
How to prepare for a job interview at Convera Holdings, LLC.
✨Know Your Stuff
Make sure you brush up on your credit risk knowledge, especially as it relates to the UK and European markets. Familiarise yourself with Convera's policies and how they align with regulatory requirements. Being able to discuss specific strategies and insights will show that you're not just a candidate, but a potential leader.
✨Showcase Your Leadership Skills
As the Head of Credit Risk, you'll be leading a team. Prepare examples of how you've successfully managed teams in the past, focusing on mentorship and development. Highlight your ability to foster a collaborative environment and drive continuous improvement—this is key for the role!
✨Communicate Clearly
You’ll need to present complex ideas succinctly to senior management and stakeholders. Practice articulating your thoughts on credit risk analysis and portfolio management clearly and confidently. Use real-life examples to illustrate your points, and don’t shy away from discussing challenging situations you've navigated.
✨Be Ready for Questions
Expect questions about your experience with financial forecasting, stress testing, and managing distressed clients. Prepare to discuss your analytical approach and how you assess complex financial data. This will demonstrate your expertise and readiness for the challenges of the role.