Collateral Risk Manager

5 days ago


London, United Kingdom LHH Recruitment Solutions Full time

**The Role**:
The Collateral Risk Manager will be expected to make a major contribution towards the refinement of the team's mandate and operating model and to take a leading role in the execution of existing responsibilities including:

- The identification, classification, and prioritisation of collateral related risks (including wrong way risk, and, in collaboration with colleagues, the internal assessment of credit and liquidity characteristics of collateral)
- The ongoing oversight, review and refinement of collateral management processes and the tools and data supporting them
- In partnership with colleagues, the integration of risks deriving from collateral into counterparty credit considerations
- Take ownership of first line risk agenda in all relevant governance bodies

**Qualifications and Experience**:

- Bachelor's degree or equivalent experience
- 6+ years relevant experience in Financial Services (or strategy consulting) including credit extension/management in corporate lending
- Highly analytical & creative mindset
- Strong and impactful presentation skills
- Self-motivated, detail oriented, and a quick learner
- Ability to work well under pressure, in a front office environment
- Excellent communication, interpersonal and organisational skills
- Knowledge of the characteristics of individual collateral types, particularly real estate, physical assets, and other non-financial collateral is a plus
- Familiarity with large scale data and querying and engaging with technology partners is preferred
- Experience partnering with the business to assess data for patterns and spot anomalies


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