Vice President, Credit Risk Analyst - Hedge Funds (m|f|x)
Vice President, Credit Risk Analyst - Hedge Funds (m|f|x)

Vice President, Credit Risk Analyst - Hedge Funds (m|f|x)

London Full-Time 72000 - 100000 ÂŁ / year (est.) No home office possible
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At a Glance

  • Tasks: Lead credit risk management for hedge funds, analyzing portfolios and approving transactions.
  • Company: Join MUFG, a top global financial group with 120,000 colleagues dedicated to making a difference.
  • Benefits: Enjoy a full-time role with leadership responsibilities and a company pension plan.
  • Why this job: Be part of a culture that values innovation, collaboration, and making a meaningful impact.
  • Qualifications: Extensive experience in hedge fund risk management and strong analytical skills required.
  • Other info: MUFG promotes diversity and inclusion, valuing every employee's contribution.

The predicted salary is between 72000 - 100000 ÂŁ per year.

Vice President, Credit Risk Analyst – Hedge Funds (m|f|x) London

Kreditrisikomanagement Vollzeit mit FĂĽhrungsaufgaben mit betrieblicher Altersvorsorge

Discover your opportunity with Mitsubishi UFJ Financial Group (MUFG), one of the world’s leading financial groups. Across the globe, we’re 120,000 colleagues, striving to make a difference for every client, organization, and community we serve. We stand for our values, building long-term relationships, serving society, and fostering shared and sustainable growth for a better world.

With a vision to be the world’s most trusted financial group, it’s part of our culture to put people first, listen to new and diverse ideas and collaborate toward greater innovation, speed and agility. This means investing in talent, technologies, and tools that empower you to own your career.

Join MUFG, where being inspired is expected and making a meaningful impact is rewarded.

EMEA CRM and FI Credit Risk Management (“CRM FIG”) is a credit risk team within 2LoD Risk department. It is responsible for credit risk management inclusive of review and approval of banks, insurance companies, funds and sovereigns within the EMEA region. The team is entity agnostic and cover both MUFG Securities (“MUS”) and MUFG Bank for counterparty credit risk.

Key Responsibilities

  • Assessment and management of credit risks and related risks.
  • Credit risk approvals and management of problematic assets.
  • Monitoring, reporting and early action.
  • Portfolio analysis and management.
  • Assign credit ratings and formulate credit proposal for NBFI clients (hedge Funds and regulated funds).
  • Set risk appetite for NBFI clients and approve transactions within Delegated Credit Authority.
  • Monitor and exercise oversight over own portfolio of clients.
  • Work closely with the front office to assist business initiatives and develop risk culture.
  • Collaborate across the wider FIG Credit team and relevant global functions.
  • Support the enhancement of monitoring efficiency, system developments and risk measures.
  • Assessment and recommendation of appropriate rating and credit limits for Hedge Funds/regulated funds counterparties.
  • Maintenance of EMEA portfolio across MUBK and MUS.
  • Run periodic counterparty due diligence calls with Hedge Fund clients.
  • Collaborate with the Risk Analytics Group to ensure credit risk can be modelled and measured correctly.
  • Provide creative solutions influencing transaction structures and credit risk related terms/conditions.
  • Present transactions to senior management for discussion and approval.
  • Set credit risk related terms in trading documentation to mitigate credit risk.
  • Monitor that transactions perform within the terms of credit approval.
  • Compliance with all regulatory requirements as well as internal policy and procedure.

Minimum Qualifications

  • Extensive experience in a hedge fund focused role in a risk management department.
  • Competence in analysing traded products’ portfolios, including OTC derivatives; Securities Lending/Borrowing and Repo transactions.
  • Experience from opining to legal documentation from a credit perspective.
  • Familiarity with key regulatory frameworks impacting credit risk management.
  • Strong analytical skills to assess Hedge Funds and regulated funds credit profiles.
  • Strong knowledge of traded products and credit/market risk principles.
  • Understanding of how to assign probability of default credit ratings and LGD’s.
  • Working knowledge of legal documentation and key credit clauses.
  • Bachelor Degree or equivalent (Essential).
  • Master’s Degree and relevant industry accreditation (Beneficial).
  • Excellent communication skills.
  • Results driven with a strong sense of accountability.
  • Strong decision-making skills and sound judgment.
  • Excellent attention to detail and accuracy.
  • A calm approach, with the ability to perform well in a pressurized environment.

MUFG is committed to embracing diversity and building an inclusive culture where all employees are valued and respected. We support the principles of equality, diversity and inclusion in recruitment and employment.

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Vice President, Credit Risk Analyst - Hedge Funds (m|f|x) employer: E Fundresearch

Mitsubishi UFJ Financial Group (MUFG) ist ein hervorragender Arbeitgeber, der seinen Mitarbeitern in London eine dynamische und unterstützende Arbeitsumgebung bietet. Mit einem starken Fokus auf persönliche Entwicklung und Karrierewachstum fördert MUFG eine Kultur der Zusammenarbeit und Innovation, in der Vielfalt geschätzt wird. Die Mitarbeiter profitieren von umfassenden Sozialleistungen, einschließlich betrieblicher Altersvorsorge, und haben die Möglichkeit, einen bedeutenden Einfluss auf die Finanzwelt auszuüben.
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Contact Detail:

E Fundresearch Recruiting Team

StudySmarter Expert Advice 🤫

We think this is how you could land Vice President, Credit Risk Analyst - Hedge Funds (m|f|x)

✨Tip Nummer 1

Netzwerke sind entscheidend! Nutze Plattformen wie LinkedIn, um dich mit Fachleuten aus der Hedgefonds- und Risikomanagement-Branche zu vernetzen. Engagiere dich in relevanten Gruppen und Diskussionsforen, um dein Wissen zu erweitern und potenzielle Kontakte zu knĂĽpfen.

✨Tip Nummer 2

Informiere dich über die neuesten Trends und Entwicklungen im Kreditrisikomanagement, insbesondere im Zusammenhang mit Hedgefonds. Zeige in Gesprächen, dass du über aktuelle Themen Bescheid weißt und bereit bist, innovative Lösungen zu entwickeln.

✨Tip Nummer 3

Bereite dich darauf vor, deine analytischen Fähigkeiten unter Beweis zu stellen. Sei bereit, konkrete Beispiele aus deiner bisherigen Erfahrung zu teilen, die deine Kompetenz in der Analyse von Handelsprodukten und Portfolios zeigen.

✨Tip Nummer 4

Zeige deine Kommunikationsfähigkeiten! In dieser Rolle ist es wichtig, komplexe Informationen klar und präzise zu vermitteln. Übe, wie du deine Ideen und Analysen effektiv präsentieren kannst, um einen bleibenden Eindruck zu hinterlassen.

We think you need these skills to ace Vice President, Credit Risk Analyst - Hedge Funds (m|f|x)

Extensive experience in hedge fund risk management
Competence in analyzing traded products’ portfolios
Experience with OTC derivatives, Securities Lending/Borrowing, and Repo transactions
Ability to opine on legal documentation from a credit perspective
Familiarity with regulatory frameworks impacting credit risk management
Strong analytical skills for assessing Hedge Funds and regulated funds credit profiles
Knowledge of credit/market risk principles
Understanding of probability of default credit ratings and LGD’s
Working knowledge of legal documentation and key credit clauses
Bachelor Degree or equivalent
Master’s Degree and relevant industry accreditation
Excellent communication skills
Results driven with accountability
Strong decision-making skills and sound judgment
Attention to detail and accuracy
Ability to perform well in a pressurized environment

Some tips for your application 🫡

Research the Company: Begin by researching Mitsubishi UFJ Financial Group (MUFG). Understand their values, mission, and the specific role of the Credit Risk Analyst within the organization. This knowledge will help you tailor your application.

Highlight Relevant Experience: In your CV and cover letter, emphasize your extensive experience in hedge fund risk management. Be specific about your analytical skills and familiarity with traded products, as these are crucial for the role.

Showcase Your Analytical Skills: Demonstrate your strong analytical skills by providing examples of how you've assessed credit profiles or managed portfolios in previous roles. Use quantifiable achievements to illustrate your impact.

Tailor Your Application: Customize your application documents to reflect the key responsibilities and qualifications mentioned in the job description. Make sure to address your ability to collaborate across teams and your understanding of regulatory frameworks.

How to prepare for a job interview at E Fundresearch

✨Verstehe die Kreditrisikomanagement-Prinzipien

Stelle sicher, dass du ein tiefes Verständnis für die Prinzipien des Kreditrisikomanagements hast, insbesondere im Kontext von Hedge Funds. Bereite dich darauf vor, spezifische Beispiele aus deiner bisherigen Erfahrung zu nennen, die deine Kompetenz in der Analyse von Handelsprodukten und Portfolios zeigen.

✨Bereite dich auf regulatorische Fragen vor

Da das Unternehmen groĂźen Wert auf die Einhaltung regulatorischer Anforderungen legt, solltest du dich mit den relevanten regulatorischen Rahmenbedingungen vertraut machen. Sei bereit, Fragen zu beantworten, wie du diese in deiner bisherigen Rolle berĂĽcksichtigt hast.

✨Kommunikationsfähigkeiten demonstrieren

Exzellente Kommunikationsfähigkeiten sind entscheidend für diese Position. Übe, komplexe Informationen klar und präzise zu präsentieren, sowohl mündlich als auch schriftlich. Überlege dir, wie du deine Ideen und Analysen effektiv an verschiedene Stakeholder kommunizieren kannst.

✨Entwickle kreative Lösungen

Sei bereit, Beispiele für kreative Lösungen zu diskutieren, die du in der Vergangenheit entwickelt hast, um Kreditrisiken zu mindern oder Transaktionsstrukturen zu beeinflussen. Dies zeigt deine Fähigkeit, innovativ zu denken und proaktiv zu handeln.

Vice President, Credit Risk Analyst - Hedge Funds (m|f|x)
E Fundresearch
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  • Vice President, Credit Risk Analyst - Hedge Funds (m|f|x)

    London
    Full-Time
    72000 - 100000 ÂŁ / year (est.)

    Application deadline: 2027-03-27

  • E

    E Fundresearch

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