This job has expired

Structured Lending & Financing Risk Management - Credit Asset Class

Closing date
11 Jul 2022

View more

Contract Type
Full Time
You need to sign in or create an account to save a job.
As a Barclays Structured Lending and Financing Risk Manager, Credit Asset Class you will be responsible for the end to end analysis, approval and monitoring of financing transactions across a number of underlying asset classes. Reporting to the Director - Global Head of the Credit and Macro Asset Class and Market Risk, this is a unique opportunity to make a real impact and develop your skillset in a newly formed team across an interesting and varied portfolio of activities.

Barclays is one of the world's largest and most respected financial institutions, with 329 years of success, quality and innovation behind us. We offer careers that provide endless opportunity - helping millions of individuals and businesses thrive, and creating financial and digital solutions that the world now takes for granted.

We are currently operating in a hybrid working environment, meaning that many colleagues spend part of their working hours at home and part in the office, depending on the nature of the role they are in. Please discuss the detail of the working pattern options for the role with the hiring manager.

What will you be doing?
• You will perform the role of a risk officer across various asset classes including the analysis, due diligence and preparation of new deal approval proposals and annual credit review
• You will be responsible for ensuring risks are fully captured and represented within Barclays market and credit risk requirements
• Conducting regular activities such as Value at Risk (VaR) sign off as well as working with infrastructure areas on feed and related projects
• Providing support on portfolio analysis and initial and ongoing due diligence reviews of assigned transactions
• Contributing towards policy and process improvement initiatives
• Staying current on market developments, including origination and pricing levels, and in turn alert senior management to any deterioration or notable

What we're looking for:
• Experience in credit or market risk management at a major investment bank/similar institution, or equivalent position
• Detailed understanding of Credit (both Developed Markets and Emerging Markets) products - including Repos. TRS, Private Credit Financing and related documentation
• Excellent written and verbal communication skills across a variety of formats and forums

Skills that will help you in the role:
• Demonstrable understanding of various asset classes and fundamentals and able to provide reasoned dispute
• Experience in both market risk and credit analysis and familiarity with modelling techniques
• Advanced skills in Microsoft Office suite is preferred
• FRM/CFA qualification or progression towards such designation

Where will you be working?
5 North Colonnade is home to our investment bank and is in the heart of Canary Wharf, just a short walk from our headquarters at Churchill Place. It boasts an array of onsite amenities such as dry cleaner as well as a deli and buffet style staff restaurant. The building is easily accessible by tube, docklands light railway and all major bus links. The atmosphere is second to none with a real buzz being created around the offices within.

You need to sign in or create an account to save a job.

Get job alerts

Create a job alert and receive personalised job recommendations straight to your inbox.

Create alert