Risk Manager (non flow)
Risk Manager (Non Flow)-Hybrid-£70k to £80k
I am working with a a global finance business which is represented in 42 countries, they provide vendor and equipment finance in the Hi-tech, Transport, Construction, Industrial, Medical, Public Sector and Agriculture market. They are looking for a Risk Manager (non flow) who will be responsible for the expert evaluation and underwriting of all business channel.
Benefits:
- £70k to £80k
- 10% company bonus
- 7% personal bonus
- 2-3 days a week on site in Richmond
- Pension
Responsibilities:
- Interpret and evaluate internal and external credit reference agency, broker and market reports to determine the degree of risk involved in extending credit.
- Analyse credit data and financial statements to determine the degree of risk involved
- Prepare domestic and external risk reports that include the degree of risk involved in extending credit for all mid-ticket business channel transactions.
- Generate and evaluate financial ratios, using internal credit tools, to evaluate customers' financial status
- Interpret and evaluate collateral curve analysis
Requirements:
- Minimum of 3-5 years of credit experience, ideally with time spent analysing and interpreting financial statements/data from a variety of industries and commercial backgrounds
- Ability to competently and confidently analyse unsecured & secured transactions in the mid-ticket sector
- Possess of excellent analytical skills tempered with a sense of commerciality and business focus
- Possess of a good knowledge of the asset finance industry and the various product offerings and types of funding facilities available
- Good experience in Risk assessment of structured lending and cash flow lending based transactions
Apply now or alternatively send your CV to (see below) to arrange an initial call
Reference: 2670579393
Risk Manager (non flow)

Posted on Oct 31, 2023 by Explore Group
Risk Manager (Non Flow)-Hybrid-£70k to £80k
I am working with a a global finance business which is represented in 42 countries, they provide vendor and equipment finance in the Hi-tech, Transport, Construction, Industrial, Medical, Public Sector and Agriculture market. They are looking for a Risk Manager (non flow) who will be responsible for the expert evaluation and underwriting of all business channel.
Benefits:
- £70k to £80k
- 10% company bonus
- 7% personal bonus
- 2-3 days a week on site in Richmond
- Pension
Responsibilities:
- Interpret and evaluate internal and external credit reference agency, broker and market reports to determine the degree of risk involved in extending credit.
- Analyse credit data and financial statements to determine the degree of risk involved
- Prepare domestic and external risk reports that include the degree of risk involved in extending credit for all mid-ticket business channel transactions.
- Generate and evaluate financial ratios, using internal credit tools, to evaluate customers' financial status
- Interpret and evaluate collateral curve analysis
Requirements:
- Minimum of 3-5 years of credit experience, ideally with time spent analysing and interpreting financial statements/data from a variety of industries and commercial backgrounds
- Ability to competently and confidently analyse unsecured & secured transactions in the mid-ticket sector
- Possess of excellent analytical skills tempered with a sense of commerciality and business focus
- Possess of a good knowledge of the asset finance industry and the various product offerings and types of funding facilities available
- Good experience in Risk assessment of structured lending and cash flow lending based transactions
Apply now or alternatively send your CV to (see below) to arrange an initial call
Reference: 2670579393

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