Credit Risk HYBRID BA
2 weeks ago
Shape the Future with Capgemini
At Capgemini, we empower you to shape your career your way. Join a global community where collaboration, innovation, and purpose come together to reimagine what's possible. Be part of a team that helps the world's leading organizations unlock the power of technology to build a more sustainable and inclusive future.
Job Title: Business Analyst (Capital Markets – DCM & Corporate/Investment Banking)
We are seeking an experienced and analytical Business Analyst with 8+ years of expertise in Capital Markets, focusing on Debt Capital Markets (DCM) and Corporate & Investment Banking. The ideal candidate will have deep domain knowledge, strong communication skills, and the ability to bridge business needs with technical solutions. This role is pivotal in driving strategic initiatives and ensuring successful project delivery within these complex financial areas.
Key Responsibilities
- Requirements Elicitation & Analysis: Lead workshops and interviews with stakeholders across front, middle, and back office to gather and document functional and non-functional requirements.
- Domain Expertise Application: Utilize extensive knowledge of DCM (bond origination, syndication, issuance, trading workflows, regulatory aspects) and Corporate & Investment Banking (corporate lending, trade finance, M&A advisory, capital raising, treasury services).
- Solution Design & Documentation: Translate business requirements into functional specifications, user stories, process flows, and data models.
- Stakeholder Management: Act as the liaison between business users and technical teams to ensure alignment throughout the project lifecycle.
- Data Analysis & Mapping: Conduct source-to-target data mapping for system integrations and migrations.
- Testing Support: Collaborate with QA teams on test strategies, review test cases, and support UAT.
- Change Management: Develop training materials and facilitate user training sessions for smooth adoption.
- Problem Solving: Identify business problems, propose solutions, and assess impacts on existing systems.
- Project Lifecycle Participation: Engage in all phases of SDLC, particularly Agile environments.
- Market & Regulatory Awareness: Stay updated on industry trends and regulatory changes impacting DCM and Corporate & Investment Banking.
Required Skills & Experience
- Experience: 8+ years as a Business Analyst in Capital Markets.
- Domain Expertise:
- Debt Capital Markets (DCM): Bond lifecycle, primary/secondary markets, syndication, issuance processes.
- Corporate & Investment Banking: Corporate lending, trade finance, cash management, advisory services.
- Requirements Management: Proven ability to manage complex requirements for large-scale financial systems.
- Analytical Skills: Strong problem-solving and critical thinking abilities.
- Communication: Excellent verbal and written skills for both technical and non-technical audiences.
About Capgemini
Capgemini is a global leader in business and technology transformation. With 340,000 team members in over 50 countries, we help organizations accelerate their digital and sustainable transitions. Backed by over 55 years of experience, we deliver end-to-end solutions powered by AI, cloud, and data, and supported by deep industry expertise. In 2023, Capgemini reported global revenues of €22.5 billion.Get the future you want
Ref. code
338895-en_GB
Posted on
09 Oct 2025
Experience level
Experienced Professionals
Contract type
Permanent
Location
London
Business unit
FS
Brand
Capgemini
Professional communities
Business Analysis
-
Head of Credit Risk
2 weeks ago
London, Greater London, United Kingdom StrideUp Full time £70,000 - £120,000 per yearStrideUp is leading a new era of values-driven finance. Ranked the 5th fastest growing fintech in the UK and Ireland in 2025, we have already deployed hundreds of millions in property finance, supporting people in achieving their financial goals.What makes us different is how we combine purpose with performance. We began with home finance, creating a...
-
Credit Risk Analyst
2 weeks ago
London, Greater London, United Kingdom Macquarie Group Full time £50,000 - £120,000 per yearThe Credit Risk Team is integral in supporting the development of the commodities desks within the Commodities and Global Markets division in EMEA. Our team focuses on assessing innovative hedging, lending, and physical solutions across a variety of businesses, primarily focusing on oil and energy productsAt Macquarie, our advantage is bringing together...
-
Credit Risk Strategy
2 weeks ago
London, Greater London, United Kingdom Campion Pickworth Full time £60,000 - £100,000 per yearOur client, a major financial services firm, is looking to recruit a Credit Risk Strategy - Senior Analystin their London office, with hybrid working. The role involves investigating the firms exposure to different kinds of credit risk, their resilience in times of market stress, and proposing frameworks and activities to manage these whilst understanding...
-
Counterparty Credit Risk Manager
2 weeks ago
London, Greater London, United Kingdom NatWest Group Full time £60,000 - £120,000 per yearOur people work differently depending on their jobs and needs. From hybrid working to flexible hours, we have plenty of options that help our people to thrive.This role is based in the United Kingdom and as such all normal working days must be carried out in the United Kingdom.Job DescriptionJoin us as a Counterparty Credit Risk ManagerThis is a prominent...
-
Credit Risk Manager-Risk Management
3 days ago
London, Greater London, United Kingdom American Express Full timeWe back you with benefits that support your holistic well-being so you can be and deliver your best. This means caring for you and your loved ones' physical, financial, and mental health, as well as providing the flexibility you need to thrive personally and professionally:Competitive base salaries Bonus incentives Support for financial-well-being and...
-
Credit Risk Assurance Manager
2 days ago
London, Greater London, United Kingdom Creditspring Full timeWe are Creditspring, a new way of borrowing that focuses on its members and provides them with safe and efficient short-term financial products.We're a fast-growing FCA-regulated consumer credit company. We have members, not customers and we take a lot of pride in thatAs one of the UK's only subscription finance company in the market, we truly have a unique...
-
Credit Risk Manager
1 day ago
London, Greater London, United Kingdom Finclusion Full timeReports to:CEOType:Full-time, office-based/hybridSalary: £65,000-85,000 based on experienceAbout FinclusionWe're building something different. Finclusion is a new, specialist vehicle finance lender working exclusively with car dealers to help more members access the cars they need. We focus on our members who are often overlooked by mainstream lenders —...
-
Credit Risk Manager
2 weeks ago
London, Greater London, United Kingdom Trafigura Full time £60,000 - £120,000 per yearWe are seeking to hire a highly analytical and driven professional to join our Credit Team inAthens. The successful candidate will work as part of a group responsible for reviewing and approving credit risk associated with complex transactions across multiple products and business segments, including Gas & Power, Oil, and Freight. The role will involve...
-
Credit Risk Manager
2 days ago
London, Greater London, United Kingdom CRS Ltd Full timeMy client is an established Fintech within the invoice finance landscape. Having traded across UK & Internationally for over 10yrs, they have a strong product reputation and aim to deliver flexible, efficient and tech driven invoice finance up to the value of £750K.Due to the strength & industry recognition they have for tech enablement – They are now...
-
Credit Risk Manager
2 weeks ago
London, Greater London, United Kingdom Trafigura Full time £60,000 - £120,000 per yearWe are seeking to hire a highly analytical and driven professional to join our Credit Team in Athens. The successful candidate will work as part of a group responsible for reviewing and approving credit risk associated with complex transactions across multiple products and business segments, including Gas & Power, Oil, and Freight. The role will involve...