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|Job Title:||J2020 – Risk Manager – UK, Gtr London / SE Eng – Asset Finance|
|Salary:||Competitive basic salary plus excellent bonus and benefits|
|Location:||UK, Gtr London / SE Eng|
|Job Function:||Credit Risk & Collections|
|Asset Type / Sector:||All Assets / Sector|
|Job Description :||Our client is seeking a Risk Manager -UK, Gtr London / SE Eng (ref: J2020) to assume responsibility for the expert evaluation and underwriting of all business channels, in line with risk policies. You will maintain and promote good governance, credit processes and agreed service levels for all business origination, approvals, collateral, and management of bad debt where and when necessary.
Analyse credit data and financial statements to determine the degree of risk involved in extending credit in all business channels from sales-aid leasing/flow business to mid-ticket transactions.
The ideal candidate will have a minimum of 3-5 years of credit experience, ideally with time spent analysing and interpreting financial statements/data from a variety of industries and commercial backgrounds.
We strongly favour applicants with proven relevant experience in Financial Services; particularly in Asset Finance and Leasing.
|Consultant :||Jane Theobald : firstname.lastname@example.org|