Head of Collateral Evaluation
6 days ago
Product & Proposition, Customer
Head of Collateral Evaluation & Monitoring
- London, United Kingdom- Permanent- Full Time#R-00244997
Our 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 description
Join us as Head of Collateral Evaluation & Monitoring
- In this key role, you’ll support delivery of the investment backed lending credit product, to enable our overall sustainable credit growth and profitability targets, including managing the market risk of the collateral portfolio
- You’ll partner with internal product, journey, and risk teams to provide a market leading Investment Backed Lending (IBL) proposition that delivers good client outcomes
- Enjoy a great platform to build your leadership profile as you shape a high performing and vibrant team culture
What you'll do
As Head of Collateral Evaluation & Monitoring, you’ll support overall risk management through the identification, assessment, and mitigation of financial market risks. You’ll be accountable for the development of the lending value matrix that defines market risk appetite for IBL, including reviewing suitability and comparison to peers, in agreement with the business and risk partners.
In addition, you’ll own and proactively develop credit risk mitigation methodology, policy and procedures to maximise risk weighted asset benefits of the IBL collateral portfolio, in partnership with the NatWest Regulatory Policy & Advisory Team. We’ll look to you to lead and build Collateral Evaluation & Monitoring into a high performing team by acting as a role model, and developing talent, managing performance, resource management and ensuring that key activities are completed on time and to a high standard.
Day to day, you’ll:
- Provide insights to assist in defining the bank’s risk appetite and IBL strategy and product suite
- Identify, assess, and mitigate financial market risks across all segments, IBL products, and legal entities of Coutts to ensure portfolio risk is within guidelines and standards
- Consider the adequacy and effectiveness of the business’s controls on a regular basis and proactively challenge existing processes and any barriers to achieving the bank’s objectives
- Provide guidance to the Coverage teams, IBL and Mortgage Specialists, and other stakeholders in respect of individual transactions, especially larger or more complex cases and the assessment of investments being used in connection with HNW mortgage exemptions
- Prepare and deliver high quality reports and presentations to key stakeholders and more broadly across Coutts if required
- Own and proactively contribute to appropriate planning for workloads, projects, financial plans and client contact strategy
The skills you'll need
We want you to thrive in this role, so you’ll need knowledge and understanding of the investment backed lending market, ideally from a market risk or credit structuring background and an understanding of offshore jurisdictions will be ideal. You’ll understand financial markets, including key drivers for changes in price and volatility, as well as bring sound knowledge of investment products and collateral analysis.
You’ll also demonstrate:
- Experience of relevant policies, regulatory obligations and risk management of investment backed lending products
- Strategic thinking and the ability to simplify complex and conflicting tasks and policy positions, ensuring that these are effectively managed and communicated
- Experience in developing relationships with the credit function and banker communities locally, regionally and at Group level within a large organisation
- Experience leading a team
- Great communication skills and the ability to present your insights in a way that’s knowledgeable and tailored to your audience.
- Critical thinking skills, enabling you to cut through complexity, and make sound decisions and recommendations that are carefully balanced against risk
London: An exciting and unparalleled hub of opportunities
Discover the magic and excitement of working in this extraordinary capital city.
Not ready to apply?
Tell us what sort of roles you’re interested in and we’ll send you details about new roles, events and articles that match your preferences.
-
Collateral Evaluation
2 days ago
London, United Kingdom eFinancial Careers Full timeJoin us as a Collateral Evaluation & Monitoring Associate - This is an opportunity to join a specialist team, where you'll be monitoring our Investment Backed Lending (IBL) collateral portfolio - Working with your team, you'll oversee the risk management of our IBL product suite to help make sure business portfolio risk is in line with our wider risk...
-
Global Head
6 days ago
London, United Kingdom eFinancialCareers Full time**Who we are looking for** We are looking for a dynamic individual to lead our State Street Global Markets (SSGM) Collateral + Operations organization. Collateral + brings clients end-to-end capabilities that include pre - and post-trade optimization tools. We help clients manage liquidity,risk, collateral transformation and regulatory compliance. For our...
-
Head of Impact and Evaluation
5 days ago
London, Greater London, United Kingdom Goldsmiths, University of London Full time £73,777 - £75,255 per yearHead of Impact and EvaluationDepartmentStudent and Academic Services DirectorateVacancy TypeOpen-ended/PermanentFull-Time/Part-TimeFull TimeSalary£73,177 - £75,255Actual Hours35FTE1.0Contact Detailshr-Posted Date05/12/2025Closing Date19/12/2025Ref No10598What makes Goldsmiths unique?Goldsmiths is a world-renowned university that has a reputation for...
-
Collateral Projects Manager Vp
4 days ago
London, United Kingdom eFinancialCareers Full timeThe Collateral Projects Manager is a key member of the in-business credit risk function responsible for the collateral that underpins the bank's lending and trading activities. Working closely with credit risk program managers, collateral risk expertsand other teams engaged in business transformation, the Collateral Business Analyst leads or supports...
-
London, United Kingdom LSEG Full time £150 - £200Director, Product, Collateral and Liquidity ManagementPlease read the following job description thoroughly to ensure you are the right fit for this role before applying.Join to apply for the Director, Product, Collateral and Liquidity Management role at LSEG.Role PurposeReporting to the Global Head of Collateral & Liquidity Management (CaLM), the Head of...
-
London, United Kingdom LSEG Full time £150 - £200Director, Product, Collateral and Liquidity ManagementMaximise your chances of a successful application to this job by ensuring your CV and skills are a good match.Join to apply for the Director, Product, Collateral and Liquidity Management role at LSEG.Role PurposeReporting to the Global Head of Collateral & Liquidity Management (CaLM), the Head of Product...
-
Head of Evaluation
4 days ago
London, United Kingdom Medical Research Council Full timeHead of Evaluation Medical Research Council Salary: £58,589 per annum (plus £5,385.00 London allowances if applicable) Band: UKRI - Band F Team: MRC - HO Evaluation and Analysis (Admin) Contract Type: Open ended Hours: Full-time Location: Caxton House, London / Polaris House, Swindon - Hybrid working available Closing Date: 14th December 2025 About the...
-
Head of Evaluation
4 days ago
London, United Kingdom Medical Research Council Full timeHead of EvaluationMedical Research CouncilSalary: £58,589 per annum (plus £5,385.00 London allowances if applicable)Band: UKRI - Band FTeam: MRC - HO Evaluation and Analysis (Admin)Contract Type: Open ended Hours: Full-time Location: Caxton House, London / Polaris House, Swindon - Hybrid working availableClosing Date: 14th December 2025About the roleThe...
-
London, United Kingdom LegalAndGeneral Full time**Company Description** Legal & General is one of Europe’s largest asset managers, providing clients and partners with complex, responsible investment solutions, across public and private markets. As a global investor, we are present where our clients most need us - from Hong Kong and Singapore, to Chicago and major European financial hubs. Created by...
-
Greater London, United Kingdom LSEG Full timeDirector, Product, Collateral and Liquidity Management Join to apply for the Director, Product, Collateral and Liquidity Management role at LSEG. Role Purpose Reporting to the Global Head of Collateral & Liquidity Management (CaLM), the Head of Product will own and lead the product strategy in conjunction with the Global Head of CaLM and the respective COOs...