Leading global liquidity provider scaling the Credit Risk function in London.
The Role
* Deep dive quantitative and qualitative credit risk of clients, vendors and partners.
* Monitor credit risk limits and collateral processes
* Assess, monitor and maintain credit risk appetite of clients.
Requirements
* 2 - 5 years experience in Credit Risk in financial markets.
* Strong understanding of risk models, mitigation and ratings.
* Strong analytical and technical skills.
* Prior experience in Hedge Fund or Investment Bank preferred.