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Keywords: Credit Risk Governance , Location: London

Page: 2

Emerging Markets Credit Trader, VP

Markets Credit products. Ensure robust governance and control, partnering with Legal, Compliance, and Risk functions... Credit trading book, ensuring optimal risk management. Collaborate strategically with Sales, Research, and internal partners...

Company: Citigroup
Location: London
Posted Date: 15 Feb 2026

Head of Wholesale Credit Delivery

alignment with risk appetite, policy, and regulatory requirements. Maintain effective governance of credit risk by overseeing... of wholesale credit risk, delivers independent challenge, and maintains robust credit risk frameworks and controls, acting...

Company: Aldermore Bank
Location: London
Posted Date: 05 Feb 2026

Credit Review - Vice President

credit quality. In between periodic reviews, you will independently monitor credit risk trends within assigned commercial... scope, evaluate credit risk controls, communicate with management, review and assess findings, recommend corrective actions...

Company: JPMorgan Chase
Location: London
Posted Date: 05 Feb 2026

EMEA Fundamental Research Business Manager (Equity & Credit) – Vice President

, and governance standards. Be part of a team that values innovation, transparency, and professional growth. The Business Manager... / MIS, governance standards and operational effectiveness. As a Vice-President, you will collaborate with sector heads...

Company: JPMorgan Chase
Location: London
Posted Date: 04 Feb 2026

Private Credit Operations Manager

in pension risk transfer, in UK and US life insurance, and in UK workplace pensions and retirement income. Our global asset.... Job Description Are you ready to take the lead in shaping the operational backbone of a dynamic Private Credit business? At L&G Asset Management...

Company: Legal & General
Location: London
Posted Date: 04 Feb 2026

Credit Data Solutions Analyst

and roadmap for delivery of data management target state Develop a data governance framework and establish data related policies... sound and smooth execution of credit sanctioning process by providing guidance and support to business users of MUFG Bank...

Company: MUFG
Location: London
Posted Date: 04 Feb 2026

Head of Private Credit Product

in pension risk transfer, in UK and US life insurance, and in UK workplace pensions and retirement income. Our global asset... our private markets offering. We’re looking for a Head of Private Credit Product to lead the design, development and management...

Company: Legal & General
Location: London
Posted Date: 28 Jan 2026

Loans & Credit Administration Officer - Funds Finance

credit risk management for this Global Banking Group - fund finance portfolio. The role also encompasses preparation... that onboarding documentation is complete and filed correctly in internal systems. Credit & Risk Documentation · Gather and input data...

Location: London
Posted Date: 25 Jan 2026
Salary: £55000 per year

Senior Credit Data Scientist

resilience by delivering high-quality credit risk reporting and portfolio analytics. Our mandate spans regular and ad hoc... and strengthens its reputation for robust risk governance. We are looking for a seasoned Senior Risk Reporting Analyst to strengthen...

Company: Shell
Location: London
Posted Date: 16 Jan 2026

Head of Credit Capital Markets

and oversee comprehensive credit risk frameworks covering counterparty evaluation, collateral optimization, and capital allocation... and maintain robust credit policies, exposure limits, and governance standards governing all underwriting and counterparty...

Company: Keyrock
Location: London
Posted Date: 21 Dec 2025

Credit Control Lead

to help chase collection, educate the Sales team about credit risks and ensure rigorous governance process is followed by the... financial information, perform risk assessments and make informed credit decisions. Strong Excel skills including VLOOKUP...

Company: JCDecaux
Location: London
Posted Date: 04 Dec 2025

Market Risk Business Analyst

, credit card, consumer finance and other services. They are looking for a Market Risk Business Analyst to join their team...Market Risk Business Analyst London/Hybrid 6 month contract Day rate from £500 DOE via Umbrella Company...

Company: Adecco
Location: London
Posted Date: 14 Feb 2026

Traded Risk Models Validation AVP

) is responsible for the independent quantitative review and validation of traded market risk and counterparty credit risk models... analysis, testing and validation activities for traded counterparty credit risk models. To be successful as a Traded Risk...

Company: Barclays
Location: London
Posted Date: 14 Feb 2026

Data & AI Enablement - CIB Risk Unit Associate

their potential application within market and credit risk environments. Support the governance and compliance of AI-related... Banking (CIB) Risk division and holds global responsibility for the evaluation, management, and oversight of credit and market...

Company: BBVA
Location: London
Posted Date: 13 Feb 2026

Graduate Trainee, Risk

and boards Participate in risk governance meetings, documentation and tracking follow-up actions Credit and Counterparty Risk... reports for internal and external stakeholders Risk Governance: Assist in the development and implementation of risk...

Company: Marex
Location: London
Posted Date: 11 Feb 2026

CDSClear Risk Analyst

improvements and documenting methodology for risk governance. Ensuring the analytics for model risk monitoring reports...CDSClear In-Business Risk Junior Quant Analyst, Post Trade Part of LSEG Post Trade and built in partnership with the...

Location: London
Posted Date: 10 Feb 2026

Principal, Audit Manager (Front office & Risk Management) (London, GB)

, shaping outcomes that support strong governance and effective risk management across the Bank. This position focuses... operations and activities in HQ and in countries of operations (including EBRD's new region in Sub Sahara Africa & Iraq), risk...

Posted Date: 10 Feb 2026

Principal, Audit Manager (Front office & Risk Management)

(including EBRD's new region in Sub Sahara Africa & Iraq), risk management & compliance, including specialist credit file reviews... ability to navigate sensitive or complex situations with diplomacy, shaping outcomes that support strong governance...

Posted Date: 08 Feb 2026

Assistant Manager - Quantitative Analytics & Risk Modelling

, Econometrics, Data Science, Computer Science, or related field Minimum of 3 years in credit risk modelling/analytics within a bank...Assistant Manager - Quantitative Analytics & Risk Modelling We are searching for an experienced Assistant Manager...

Location: London
Posted Date: 07 Feb 2026

Vice President, Risk Management, Commercial and New Payment Flows

risk types across CNPF covering the full risk taxonomy (e.g., operational resiliency, credit/settlement, fraud, AML... reduction, meet target exposure and Audit findings. Establish scalable governance models, risk policies, and decision forums...

Company: Mastercard
Location: London
Posted Date: 06 Feb 2026