Credit Risk VP - Hedge Funds

Goodman Masson
London, United Kingdom
03 May 2022
02 Jun 2022
Job Function
Risk Management
Industry Sector
Finance - General
Employment Type
Full Time
Within this role, the successful candidate will be responsible for:

  • Reviewing transaction material and front office analysis and overseeing the annual review of existing limits and counterparties
  • Providing creative solutions: Influencing transaction structures and credit risk related terms/conditions
  • Leading client due diligence meeting in support of existing and new clients
  • Providing visibility of the hedge fund portfolio through reporting and presentation to key stakeholders and committees
  • Collaborating with Credit Risk Analytic Group to ensure credit risk can be modelled and measured correctly
  • Determining counterparty level internal ratings and recommending risk appetite
  • Presenting large transactions to senior management for discussion and approval. Analysing and presenting complex structures and making recommendations to senior Risk management
  • Setting credit risk related terms in trading documentation to mitigate credit risk and ensure transactions perform as expected

This is a business critical role and given the transaction sizes and complexity, many of these transactions will require cooperation, discussion, and approval from senior executives including the Market Risk Team, the Risk Analytic Group, and Prudential Regulatory Management Team.

To be considered for this role, you will have demonstrable experience gained within a Hedge Fund focused Risk role, either specialing in Hedge Fund credit risk management or as part of a large NBFI credit risk role.

If you match the set criteria, please send your CV to

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