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Risk Manager with Asset Finance experience

Job LocationWimbledon
EducationNot Mentioned
Salary£40,000 - £45,000 per annum
IndustryNot Mentioned
Functional AreaNot Mentioned
Job TypeContract, full-time

Job Description

Risk Manager - Asset Finance9-12 month fixed term contractSW London£40,000-£45,000 An excellent opportunity has arisen within an Asset Finance provider based in South West London, for an experienced Risk Manager, to be responsible for evaluation and underwriting of a broad range of business channels. This is a fixed term contract for 9-12 months to cover maternity leave.Key responsibilities will include:

  • Analysis of credit data and financial statements to determine the degree of risk involved in extending credit in all business channels
  • Interpret and evaluate internal and external credit reference agency, broker and market reports, to determine the degree of risk involved in extending credit. Confer, consult and undertake due diligence meetings with internal and external credit associations and other business/customer representatives to clarify credit/collections information
  • Generate and evaluate financial ratios, using internal credit tools, to evaluate customers financial status
  • Interpret and evaluate collateral curve analysis, in line with market, sector and portfolio considerations to determine the degree of risk involved in extending credit
  • Prepare domestic and external risk reports that include the degree of risk involved in extending credit for all flow business channel transactions with clear, concise and rational recommendations for the credit decision
  • Maintain compliance with industry guidelines and statutory regulations including consumer credit, treating customers fairly, anti-money laundering and data protection
  • Review existing transactions periodically to include the evaluation of payment history, purchase activity, collateral curve analysis, market/broker intelligence and prepare recommendations for the renewal of internal credit ratings/facilities
  • Review customers, suppliers and third party introductory sources, in conjunction with Collections, to identify and limit the extent of delinquent accounts
  • Timely completion of risk reports within agreed service levels
  • Monitoring and annual review of vendor programmes under assignmed portfolios/business channels
  • Ensure that all transactions presented to risk for pay-out meet the appropriate credit sanction and credit limit issued and that all documentation in respect of specific risk caveats has been provided and properly executed
  • Provide guidance and instructions to front office for efficient and productive risk identification, analysis, assessment and presentation
  • To be considered for the role, you will need to be able to demonstrate:
  • Minimum 2 years Credit experience within the Asset Finance industry is ESSENTIAL
  • A good knowledge of the Asset Finance insustry and the various product offerings and types of funding facilities available
  • Experience of analysing and interpreting financial statements/data from a variety of industries and commercial backgrounds
  • Strong analytical skills with excellent commercial awareness
  • Ability to analyse secured and unsecured transactions in the small ticket sector
  • Experience in credit, credit analysis and underwriting of small ticket deals
  • Clear, concise and effective communication skills, both written and verbal
  • Experience of risk assessment of structured lending/cash flow lending based transactions
  • Strong MS Word and Excel skills
  • First stage interviews will be held via video call, so if you are interested in this opportunity, please apply now.

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