My leading Banking client are looking for a talented and motivated individual to play a key role in developing more sophisticated risk models, policies and frameworks to support the growth of their loan underwriting business and originate to distribute model.
You’ll lead and deliver distribution risk governance requirements and reviews. You’ll also assist with maintenance and evolution of the risk framework for loan underwriting and broader distribution risk with a focus on risk models and Global and EMEA procedure and policy development.
This is a newly created role in a forward thinking growing business. A brilliant opportunity!
The following skills / experience is required:
- 5+ years in financial services with experience managing Market or Credit Risk.
- Understanding of distribution risk is desirable
- Understanding of loan underwriting is desirable
- Strong analytical skills
Salary: Up to £115,000 + bonus + package
Level: VP (Vice President)
Location: London (good work from home options available)
If you are interested in this Risk Management VP position and meet the above requirements please apply immediately.
Seniority level
- Mid-Senior level
Employment type
- Full-time
Job function
- Finance, Product Management, and Management
Industries
- Investment Banking, Banking, and Financial Services