Overview
As Head of Credit Risk Management you will shape Liberis’ risk strategy to enable sustainable, profitable growth in embedded finance. You’ll oversee risk appetite, portfolio performance and cross-functional collaboration with Commercial, Finance, Pricing, Product and Operations. Your leadership will unify underwriting, portfolio analytics and collections to optimise risk-adjusted returns. This is a strategic, impact-led role that partners with product and markets to drive responsible expansion. You’ll lead and develop high-performing teams and deliver clear risk insights to senior leadership.
Pay / Benefits
- Real Living Wage employer
- hybrid working policy (3 days in office)
- global team, diverse culture
- flexible hybrid culture
Responsibilities
- Own and evolve the risk appetite framework in line with growth
- Monitor portfolio performance across products, partners and geographies
- Act as a strategic partner to cross-functional teams to enable growth with controlled risk
- Contribute to new product development, partnerships and market expansions
- Lead Portfolio Management & Analytics, Underwriting, and Collections & Recoveries to drive outcomes
- Build and retain high-performing teams with governance and decision-making frameworks
- Provide actionable risk insights to senior leadership for business decisions
Key requirements
- Significant credit risk leadership in lending, fintech or embedded finance (unsecured SME credit preferred)
- Deep understanding of the full credit lifecycle (PD/LGD/ECL), IFRS 9, risk appetite, portfolio management in growth environments
- Proven track record in underwriting, portfolio management or collections leadership
- Strong commercial instincts: risk as a growth enabler, not only a control function
- Ability to lead cross-functional collaboration and influence senior stakeholders
- Data-driven mindset with analytics and technology to improve risk and operations
- cross-functional collaboration
- influence senior stakeholders
- data-driven decision making
- PD/LGD/ECL
- IFRS 9
- risk appetite frameworks
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