At a Glance
- Tasks: Lead credit risk coverage for hedge funds and asset managers across EMEA.
- Company: A leading international bank known for its strong risk culture.
- Benefits: Competitive salary, comprehensive benefits, and exposure to high-profile clients.
- Other info: Collaborative team culture with opportunities for strategic input.
- Why this job: Make impactful decisions in a dynamic financial environment.
- Qualifications: Experience in counterparty credit risk and strong analytical skills.
The predicted salary is between 80000 - 100000 £ per year.
A senior opportunity within a global bank to lead credit risk coverage for hedge funds and asset managers across EMEA. The role combines underwriting, portfolio monitoring, and strategic stakeholder engagement to support disciplined business growth. This is a permanent role and is based in London.
Client Details
Our client is a leading international bank with a strong presence across Financial Markets, known for its global reach, diversified platform, and commitment to robust risk management. The organisation offers a collaborative environment, a strong risk culture, and opportunities to contribute to high-impact decision-making across regions.
Description
- Lead end-to-end credit risk coverage for hedge funds and real money funds across EMEA
- Conduct detailed due diligence, underwriting, and onboarding of new clients
- Analyse fund strategies, underlying products, and key performance drivers
- Monitor portfolio exposures, including stress scenarios and NAV performance
- Review and approve credit proposals within delegated authority
- Ensure alignment with risk appetite and escalate material risks as required
- Partner with Front Office, Market Risk, Legal, and Compliance stakeholders
- Contribute to risk committees, stress testing initiatives, and governance forums
- Support continuous improvement of underwriting standards and risk processes
- Provide input into strategic planning and broader risk decision-making framework
Profile
- Proven experience in counterparty credit risk covering hedge funds and/or asset managers
- Strong understanding of derivatives, financing products, and fund structures
- Hands-on experience with ISDA/CSA and related documentation frameworks
- Advanced analytical skills with the ability to assess complex exposures and risk drivers
- Strong stakeholder management skills, with confidence working alongside Front Office
- Experience operating within a regulated banking environment
- Ability to work independently while contributing to a collaborative team culture
- Relevant academic background; CFA or FRM qualifications are advantageous
Job Offer
- Competitive base salary and comprehensive benefits package
- Exposure to sophisticated hedge fund and asset manager clients
- High-profile role with regional responsibility across EMEA
- Based in London, offering a central and accessible location
Senior Credit Manager, Risk (Hedge Funds + Real Money Funds) in City of London employer: Michael Page
Join a leading international bank in London, where you will thrive in a collaborative environment that champions robust risk management and strategic decision-making. As a Senior Credit Manager, you will enjoy competitive compensation, a comprehensive benefits package, and the opportunity to engage with sophisticated hedge fund and asset manager clients across EMEA, all while contributing to a strong risk culture that prioritises employee growth and development.
StudySmarter Expert Advice🤫
We think this is how you could land Senior Credit Manager, Risk (Hedge Funds + Real Money Funds) in City of London
✨Network Like a Pro
Get out there and connect with people in the industry! Attend events, join relevant LinkedIn groups, and don’t be shy about reaching out to current employees at the bank. We all know that sometimes it’s not just what you know, but who you know that can help you land that dream role.
✨Ace the Informational Interview
Set up informal chats with professionals in credit risk or related fields. This is your chance to learn more about the role and the company culture while showcasing your enthusiasm and knowledge. We recommend preparing thoughtful questions that show you’ve done your homework!
✨Showcase Your Skills
When you get the chance to meet potential employers, make sure to highlight your experience with hedge funds and asset managers. We want to see how your analytical skills and stakeholder management abilities can contribute to their success. Bring examples of your past work to back it up!
✨Apply Through Our Website
Don’t forget to apply directly through our website! It’s the best way to ensure your application gets seen by the right people. Plus, we love seeing candidates who are proactive and take the initiative to engage with us directly.
We think you need these skills to ace Senior Credit Manager, Risk (Hedge Funds + Real Money Funds) in City of London
Some tips for your application 🫡
Tailor Your CV:Make sure your CV is tailored to the Senior Credit Manager role. Highlight your experience with hedge funds and asset managers, and don’t forget to showcase your analytical skills and stakeholder management abilities.
Craft a Compelling Cover Letter:Your cover letter is your chance to shine! Use it to explain why you’re the perfect fit for this role. Mention specific experiences that align with the job description and show your enthusiasm for working in a global bank.
Showcase Relevant Experience:When filling out your application, be sure to emphasise your hands-on experience with ISDA/CSA documentation and your understanding of derivatives. This will help us see how you can hit the ground running in this position.
Apply Through Our Website:We encourage you to apply through our website for a smoother process. It’s the best way for us to receive your application and ensures you don’t miss any important updates from our team!
How to prepare for a job interview at Michael Page
✨Know Your Credit Risk Inside Out
Make sure you brush up on your knowledge of credit risk, especially as it pertains to hedge funds and asset managers. Be prepared to discuss specific strategies you've used in the past for underwriting and monitoring portfolios, as well as how you've handled stress scenarios.
✨Showcase Your Stakeholder Management Skills
This role requires strong collaboration with various teams like Front Office and Compliance. Think of examples where you've successfully engaged with stakeholders to drive results. Highlight your ability to communicate complex risk concepts clearly and effectively.
✨Demonstrate Analytical Prowess
Prepare to showcase your analytical skills by discussing how you've assessed complex exposures and risk drivers in previous roles. Bring along examples of how your analysis has influenced decision-making or improved risk processes.
✨Align with Their Risk Culture
Familiarise yourself with the bank's risk culture and values. During the interview, express how your own approach to risk management aligns with theirs. This shows that you're not just a fit for the role, but also for the organisation's ethos.