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Credit Risk Manager 12-month FTC

London, United Kingdom, £ £ 45000.00-70000.00 Annual Annual, Not specified


Credit Risk Manager (FTC)
Up to £70,000

A growing challenger is seeking a Credit Risk Manager to oversee a team responsible for the development and optimisation of unsecured portfolio strategies. You will need a strong background in Credit Risk or Pricing Analytics and have experience using data to define business strategies using SAS or SQL. You will also be managing stakeholder relationships as a key influencer within the group.


It\'s the chance to join an innovative company and lead a team of bright analysts with full ownership over Credit Risk Strategy. There won\'t be the same red tape as you\'ll find at the big banks and they\'ve invested heavy in their data meaning their is a lot of scope to have an impact and be involved in meaningful projects.


  • Oversee a team responsible for unsecured portfolio strategies including credit limits and pricing, affordability, persistent debt, ECM, pricing, customer experience
  • Play a leadership role in the strategic direction and operational running of the portfolio
  • Manage the teams production of insightful and timely management information
  • Influence key stakeholders and manage relationships with internal teams
  • Leverage the use of data and analytics across the consumer lifecycle for this unsecured portfolio
  • Manage portfolio credit policies and procedures


  • Educated to a degree level with at least a 2:1 in a numerate subject
  • Proven Credit Risk Strategy experience for a leading FS or fintech company
  • A well-developed understanding of quantitative analytical methods
  • Excellent Excel skills (VBA preferable)
  • Strong experience in data manipulation and analysis using SAS or SQL


  • Up to £70,000
  • Car allowance
  • Pension up to 14%
  • Competitive bonus
  • Great for someone looking to step up into management or for a career booster!
  • Potential to be moved to permanent


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Credit Risk, SAS, SQL, Excel, Financial Services, Banking, Analyst, Fraud Risk, MI Reporting, Portfolio Analytics, Strategy, Scorecards, Portfolio Optimisation, Analysis, Loans, Payments, Credit Risk, Credit Risk, Portfolio Analytics, Portfolio Manager, Strategic Decisions, Commercial, Insights, Data, Retail Banking, trends, Investigatory Analysis,

Job Details

Full Time
London, United Kingdom
Not specified
£ £ 45000.00-70000.00 Annual Annual