Senior Credit Manager, Specialised Finance Risk

Standard Chartered, Edmonton, Greater London

Senior Credit Manager, Specialised Finance Risk

Salary not available. View on company website.

Standard Chartered, Edmonton, Greater London

  • Full time
  • Permanent
  • Onsite working

Posted 1 week ago, 10 Aug | Get your application in now before you miss out!

Closing date: Closing date not specified

Job ref: 84689532683e422e8a296d6700c3f697

Location ref: Edmonton, Greater London

Full Job Description

We're looking for a seasoned Senior Credit Manager to join our Specialised Finance Risk team within the Corporate & Investment Bank. In this high-impact 2nd Line of Defence role, you'll oversee complex securitisation and asset-backed finance credit risk across global markets, shape deal structuring, and guide strategic underwriting decisions.
If you're passionate about credit discipline, portfolio management, and delivering trusted risk opinions in fast-moving scenarios-this role puts you at the centre of high-value decision-making., Maintain and develop the risk capabilities and skills to meet ongoing business needs and plans.
Dynamically manage a portfolio of asset classes and credit risk counterparties (often bespoke) in the global portfolio, understanding the client by geography, industry, and structural differences.
Conduct periodic portfolio and transaction stress testing based on dominant rating agency methodologies.
Proactively manage transactions ahead of credit deterioration (Early Alert Review) with detection through portfolio reviews, adhering to industry strategies, market monitoring, and lessons learned.
Ensure effective management of operational risks within the Risk and compliance with applicable internal policies, and external laws and regulations.
Screen and perform due diligence on new transaction deal requests, unpacking complex situations or niche sectors to identify out-of-box solutions and value creation for clients.
Influence business and support senior credit risk officers for best-in-class underwriting with deep dives into market analysis and rating agency methodologies.
Conduct new transaction request due diligence with expert judgement on asset portfolio risk, structural mitigants, originator and servicer analysis, supporting cashflow stress testing, operational risk assessments and liquidity/asset realisation assessment.
Review Business Credit Applications, ensuring these are in line with internal Credit Underwriting Principles, and provide timely submission for credit approval.
Independently critique and recommend/approve credit and rating proposals in line with defined risk parameters, negotiated credit terms and documentation review., Managing credit risk within the second line of defence (\"2LoD\") within the Specialised Finance (\"SF\") Risk for Corporate and Investment Bank (\"CIB\").

Seeking a Senior Credit Officer / Executive Director equivalent profile with +10 years proven expertise in asset-backed financing / securitisation.
Experience in warehouse, asset-based finance and traded asset-backed securities across geographies and asset types (ABS, CLO, RMBS, CMBS, ABL, ABF).
Experience gained from an investment bank or a specialised/structured finance group of a major international organisation and a relevant degree from a top-tier university.
Strong understanding of credit risk, financial analysis, structuring, stress testing, jurisdiction risk, and their application in lending decisions for single counterparty credit risk appetite.
Ability to manage credit risk appetite with early-stage deal screening, detailed due diligence, and timely execution of transactions with credit memo analysis and independently written Risk recommendations.
Early-stage deal screening and due diligence of new transaction requests, with the ability to unpack complex situations or niche sectors to find out-of-box solutions and value creation for clients.
Influence structuring for best-in-class underwriting and to achieve successful and timely transaction execution and syndication.
Champion business initiatives that promote revenue growth while protecting against downside risk by identifying short-to-medium-term risks.

Skills and Experience

Expertise in securitisation, asset-backed finance, and structured credit (ABS, RMBS, CMBS, CLO, ABF, ABL, warehouses).
Strong credit risk judgement and decisive opinion under pressure.
Advanced structuring, financial analysis, stress testing, and portfolio monitoring.
Translate complex risks into clear recommendations.
Proven ability to challenge and influence senior stakeholders.
Strong engagement across 1LoD, 2LoD, and geographies.
Solid knowledge of credit documentation, underwriting, and regulations.
Experience managing complex counterparties across regions and assets.
Insight into market risk, governance, and enterprise risk.
Experience in policy, control, and portfolio standards.
Familiar with PRA/FCA requirements and MRT roles.
Cross-cultural collaboration and global teamwork., University degree or equivalent.
Seasoned credit professional in the structured credit markets of asset-backed financing in securitisation. Experience in warehouse, asset-based finance and traded asset-backed securities across geographies and asset type (ABS, CLO, RMBS).
Strong understanding of credit risk, financial analysis, structuring, stress testing and jurisdiction risk, and their application in lending decisions for single counterparty credit risk appetite.
Experience gained from an investment bank or a structured finance group of a major international organisation.
Strong English communication (written and verbal).
Proven leadership, influence, and independent work contributing to team success.

In line with our Fair Pay Charter, we offer a competitive salary and benefits to support your mental, physical, financial and social wellbeing.

Core bank funding for retirement savings, medical and life insurance, with flexible and voluntary benefits available in some locations.
Time-off including annual leave, parental/maternity (20 weeks), sabbatical (12 months maximum) and volunteering leave (3 days), along with minimum global standards for annual and public holiday, which is combined to 30 days minimum.
Flexible working options based around home and office locations, with flexible working patterns.
Proactive wellbeing support through Unmind, a market-leading digital wellbeing platform, development courses for resilience and other human skills, global Employee Assistance Programme, sick leave, mental health first-aiders and self-help toolkits.
A continuous learning culture to support your growth, with opportunities to reskill and upskill and access to physical, virtual and digital learning.
Being part of an inclusive and values-driven organisation, one that embraces and celebrates our unique diversity, across our teams, business functions and geographies - everyone feels respected and can realise their full potential.

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Direct job link

https://www.jobs24.co.uk/job/senior-credit-manager-specialised-finance-risk-127173670