Senior Credit Manager, Risk (Hedge Funds + Real Money Funds)
A senior opportunity within a global bank to lead credit risk coverage for hedge funds and asset managers across EMEA. The role combines underwriting, portfolio monitoring, and strategic stakeholder engagement to support disciplined business growth.This is a permanent role and is based in London Client DetailsOur client is a leading international bank with a strong presence across Financial Markets, known for its global reach, diversified platform, and commitment to robust risk management. The organisation offers a collaborative environment, a strong risk culture, and opportunities to contribute to high-impact decision-making across regions.DescriptionLead end-to-end credit risk coverage for hedge funds and real money funds across EMEAConduct detailed due diligence, underwriting, and onboarding of new clientsAnalyse fund strategies, underlying products, and key performance driversMonitor portfolio exposures, including stress scenarios and NAV performanceReview and approve credit proposals within delegated authorityEnsure alignment with risk appetite and escalate material risks as requiredPartner with Front Office, Market Risk, Legal, and Compliance stakeholdersContribute to risk committees, stress testing initiatives, and governance forumsSupport continuous improvement of underwriting standards and risk processesProvide input into strategic planning and broader risk decision-making frameworkProfileProven experience in counterparty credit risk covering hedge funds and/or ..... full job details .....
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