Overview
In this role you support MUFG’s expanding NBFI franchise from London, focusing on risk management across a broad EMEA portfolio. You work with VPs, relationship bankers and product partners to analyse credit, monitor risk, and shape mitigation strategies in live transactions. You’ll engage in cross-regional projects, training, and client interactions to strengthen relationships and drive growth. This is a collaborative, learning‑oriented environment with flexible working and a clear impact on strategic credit decisions.
Pay / Benefits
- flexible working arrangements
- generous pension contributions
- training opportunities
- diversity and inclusion commitments
Responsibilities
- Collaborate with Vice Presidents and relationship bankers to oversee a portfolio of specialist lenders and leasing companies across developed economies
- Perform comprehensive fundamental credit analyses on NBFIs, including annual reviews and limit renewals
- Assist in expanding the NBFI strategy by contributing to risk-off solutions for complex transactions
- Work with product partners to deliver tailored offerings (securitised products, FX, interest rate solutions, credit facilities)
- Monitor portfolio priorities and adapt to evolving requirements while maintaining attention to detail
- Prepare documentation for senior stakeholders to ensure policy compliance and timely reporting
- Engage in ongoing training and knowledge-sharing to advance technical skills and industry knowledge
- Collaborate with regional bankers in Europe and Japan, leveraging language skills when appropriate
- Participate in cross-regional projects and communal learning sessions to strengthen client relationships
- Support strategic initiatives aimed at business expansion and deeper client engagement
Key requirements
- Experience in fundamental FI/NBFI credit analysis within banking, asset management or rating agencies
- Understanding of macro-economic factors affecting NBFIs across EMEA
- Degree-level education or equivalent professional experience (desirable) with credentials such as CFA/ACCA/ACA/ACT advantageous
- Experience managing FI/NBFI portfolios from a credit perspective
- Excellent attention to detail and robust numerical skills
- Ability to work under time pressure and prioritise tasks
- Structured, logical problem-solving mindset
- Commitment to ongoing technical skill development and teamwork
- Willingness to collaborate across regions; language skills preferred
- Interpersonal collaboration
- Attention to detail
- Reliability under pressure
- Fundamental credit analysis of NBFIs
- Macro-economic understanding of financial institutions in EMEA
- Portfolio management of FI/NBFI exposures
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