Senior Credit Manager, Specialised Finance Risk in London

Senior Credit Manager, Specialised Finance Risk in London

London Full-Time No working from home possible
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Senior Credit Manager, Specialised Finance Risk Standard Chartered Bank Greater London, Greater London, United Kingdom

This job is with Standard Chartered Bank, an inclusive employer and a member of myGwork – the largest global platform for the LGBTQ+ business community. Please do not contact the recruiter directly.

Job Summary

We're looking for a seasoned Senior Credit Manager to join our Specialised Finance Risk team within the Corporate & Investment Bank. In this high-impact 2nd Line of Defence role, you'll oversee complex securitisation and asset-backed finance credit risk across global markets, shape deal structuring, and guide strategic underwriting decisions.

If you're passionate about credit discipline, portfolio management, and delivering trusted risk opinions in fast-moving scenarios-this role puts you at the centre of high-value decision‑making.

The role holder will be responsible for:

  • Managing credit risk within the second line of defence ("2LoD") within the Specialised Finance ("SF") Risk for Corporate and Investment Bank ("CIB").
  • This opportunity will suit a Senior Credit Officer / Executive Director equivalent profile with the relevant background and +10 years proven expertise in asset-backed financing / securitisation.
  • Experience in warehouse, asset-based finance and traded asset backed securities across geographies and asset type (ABS, CLO, RMBS, CMBS, ABL, ABF).
  • The role will require:
    • Experience gained from an investment bank or a specialised / structured finance group of a major international organisation and a relevant degree from a top‑tier university.
    • Strong understanding of credit risk, financial analysis, structuring, stress testing and jurisdiction risk, and their application in lending decisions for single counterparty credit risk appetite.
    • Able to manage credit risk appetite with early‑stage deal screening, detailed due diligence, and timely execution of transactions with credit memo analysis and independently written Risk recommendations.
    • Early‑stage deal screening and due diligence of new transaction requests, with the ability to unpack complex situations or niche sectors to find out‑of‑box solutions, and value creation for clients.
    • Influence structuring for best‑in‑class underwriting and to achieve successful and timely transaction execution and syndication.
    • Champion business initiatives which promote revenue growth whilst protecting against the downside risk by identifying the short‑ to medium‑term risks.

Key Responsibilities:

  • Maintain and develop the risk capabilities, and skills to meet ongoing business needs and plans.
  • Dynamically manage a portfolio of asset classes and credit risk counterparties (often bespoke) in the global portfolio, understand the client by geography, industry, and structural differences.
  • Conduct periodic portfolio and transaction stress testing based off dominant rating agency methodologies.
  • Pro‑actively manage transactions ahead of credit deterioration (Early Alert Review) with detection through portfolio reviews, adhering to industry strategies, market monitoring, and lessons learned.
  • Ensure effective management of the operational risks within the Risk and compliance with applicable internal policies, and external laws and regulations.
  • New transaction deal screening and due diligence, with the ability to unpack complex situations or niche sectors to find out‑of‑box solutions, and value creation for clients
  • Influence business and / or support senior credit risk officers for best‑in‑class underwriting with a deep dive into market analysis and rating agency methodologies.
  • Conduct new transaction request due diligence with expert judgement on asset portfolio risk, structural mitigants, originator and servicer analysis, supporting cashflow stress testing, operational risk assessments and liquidity / asset realisation

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Senior Credit Manager, Specialised Finance Risk in London employer: Standard Chartered Bank

Standard Chartered Bank is an exceptional employer, offering a dynamic and inclusive work environment in London where employees can thrive both personally and professionally. With a strong commitment to employee wellbeing, competitive benefits, and a culture that values diversity and continuous learning, you will have the opportunity to make a meaningful impact while advancing your career in the financial sector.

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Contact Details:

Standard Chartered Bank Recruitment Team