Overview
In this AVP role, you will manage first-line credit risk across SSM’s business units from London, applying traditional counterparty credit analysis and trading-product knowledge. You will work closely with front office sales and relationship teams to ensure timely risk assessments and proper credit terms. The role supports cross-functional risk oversight with ERM, focusing on FX, OTC derivatives, and capital-related risk across multiple product lines. This is an impactful, hands-on position in a collaborative, fast-paced environment.
Pay / Benefits
- inclusive development opportunities
- flexible work-life support
- paid volunteer days
- vibrant employee networks
Responsibilities
- Conduct counterparty credit reviews across SSM business lines
- Collaborate with sales/relationship teams for timely credit analysis of new relationships
- Negotiate client-facing credit terms and monitor ATEs
- Collect and maintain up-to-date financial information for counterparties
- Participate in due diligence calls and visits
- Analyze credit utilization and investigate over-limit conditions
- Bridge Front Office Risk with Enterprise Risk Management
- Inform ERM of relevant counterparty developments
- Support Front Office Credit and Market Risk teams with additional tasks
Key requirements
- 3-5 years’ experience in counterparty credit risk
- Bachelor in Economics or related field; advanced degree preferred
- Formal credit training preferred
- Professional designation (CFA, FRM) preferred but not required
- Strong risk management focus and control orientation
- Ability to multi-task in a fast-paced, deadline-driven environment
- Strong verbal and written communication skills
- multitasking
- communication
- relationship management
- credit risk analysis
- capital markets exposure (FX, OTC derivatives)
- monitoring of credit terms and ATEs
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