Sign up to access all features of our service.
  • Job search
  • Favorites
  • Create a CV
    New
  • Salaries
  • Subscriptions

Credit Risk Exposure Manager (Analyst / Associate)

£25.6 - £29.6 per hourEstimated
Full-time

Job title: Credit Risk Exposure Manager

Corporate Title: Analyst / Associate

Department: Risk Management

Location: London

Company overview

Nomura is a global financial services group with an integrated network spanning approximately 30 countries and regions. By connecting markets East & West, Nomura services the needs of individuals, institutions, corporates and governments through its three business divisions: Wealth Management, Investment Management, and Wholesale (Global Markets and Investment Banking). Founded in 1925, the firm is built on a tradition of disciplined entrepreneurship, serving clients with creative solutions and considered thought leadership. For further information about Nomura, visit .

Department overview:

Nomura’s Credit Risk Exposure Management team is responsible for the quantification, risk management and mitigation of contingent counterparty risks arising from the bank’s financing and derivative portfolios. The team manages collateral and contingent risk across all businesses and asset classes. The team provides IA requirements and quantifies exposure under the bottom up stress loss metric for OTC derivatives and SFT trading with Hedge Funds and other counterparties. The function sits within the Credit Risk department, however, the team works very closely with Front Office and Market risk to ensure that the bank’s exposures to its counterparties are within firm risk appetite.

In addition, the team is the responsible owner for the ‘Potential Exposure’ model and advises Credit Risk Management on all metric related matters including the Bottom-up Stress metric.

Role description:

The primary focus will be providing quantitative support to Credit Risk management Team with a primary focus on the Hedge Funds business. Specifically, the responsibilities include:

  • Client pre-trade risk analysis of financing and OTC trades to support approval decisions; this includes providing IA amounts for OTC transactions, haircuts for SFT transactions and calculating impact of new trades on Stress Loss limit utilization for Hedge Funds.
  • Monitor & analyse client portfolios in terms of credit exposures (CE, PE, EE, etc.), risk profiles and margin levels and provide commentary on the drivers for the risk exposure and daily moves
  • Participate in margin methodology development, enhancement of existing margin models and their documentation
  • Manage risks for the firm’s portfolio of collateralized transactions through relevant portfolio analysis using different parameters such as credit risk metrics, VaR, stress & liquidation scenarios, etc. and its reporting.
  • Understand the rules & regulations of various regulatory bodies (such as JFSA, PRA, BaFin &, SEC) applicable for Regulatory Credit Risk Exposure & Capital calculations and ensure its correct implementation for the trade portfolios.
  • Work with various risk managers and other stakeholders to address their requests for additional analysis based on specific needs as they arise.
  • Automate/Simplify/Standardize risk management processes wherever possible to create efficiency and focus on risk analysis & mitigation strategiesList Bullet

Skills, experience, qualifications and knowledge required:

Essential

  • Broad knowledge of a range of asset classes and their derivatives
  • Excellent Presentation and communication skills
  • Appreciation of client business and motivations
  • MS Excel to expert level
  • Good general knowledge & understanding of current macro-economic trends
  • Ability to work independently, motivated to learn, and drive for success

Desirable

  • Previous experience in Prime Brokerage, Market Risk, or a Exposure Management division
  • Previous experience in fixed income derivatives & cash products
  • Programming Skills e.g. VBA, SQL, Python etc.
  • Further Financial Education e.g. CFA, MBA, etc.

Nomura competencies

Explore Insights & Vision

  • Identify the underlying causes of problems faced by you or your team and define a clear vision and direction for the future.

Making Strategic Decisions

  • Evaluate all the options for resolving the problems and effectively prioritize actions or recommendations.

Inspire Entrepreneurship in People

  • Inspire team members through effective communication of ideas and motivate them to actively enhance productivity.

Elevate Organizational Capability

  • Engage proactively in professional development and enhance team productivity through the promotion of knowledge sharing.

Inclusion

  • Respect DEI, foster a culture of psychological safety in the workplace and cultivate a "Risk Culture" (Challenge, Escalate and Respect).

Right to Work
The UK Government have taken steps to reduce net migration to the UK by limiting the number of overseas workers coming to the UK for employment. Please note that whilst we are able to consider applications from overseas workers from outside the UK (who require a Tier 2 Skilled Worker visa) we can only employ them if we can provide evidence that this is a genuine vacancy for a qualified role.

Diversity & Inclusion

Nomura is an equal opportunity employer. We value diversity and are committed to ensuring we best reflect the diversity of the communities we serve creating an inclusive environment for all our employees. We welcome all applications and do not discriminate on the basis of age, disability, gender identity and gender expression, pregnancy and maternity, marriage and civil partnership, race, religion or belief, sex or sexual orientation.

If you require any assistance or reasonable adjustments due to a disability or long-term health condition, please do not hesitate to contact us.

Nomura is an Equal Opportunity Employer

Vacancy posted 1 day ago
Similar jobs that could be interesting for youBased on the Credit Risk Exposure Manager (Analyst / Associate) in London vacancy
  • £55k per annum

     ...pensions consultancy looking to hire an Associate Risk Transfer Consultant to join its growing...  ...journey to buy-in, buy-out and wind-up Manage the delivery of risk transfer and bulk...  ...collaboratively across teams Why Join? Exposure to a wide range of pension risk transfer... 
    Suggested
    Full-time
    Flexible hours

    Eames Consulting

    London
    14 hours ago
  • £50k - £65k per annumEstimated
     ...across a range of fixed income and credit opportunities, leveraging our...  ...and investors who seek strong risk-adjusted returns. Since 1971,...  ...underwriting, executing, and managing real estate debt transactions...  ...seeking a Real Estate Debt Analyst or Associate to join our investment... 
    Suggested
    Full-time
    Flexible hours

    PIMCO

    London
    21 days ago
  • £60k per annum

     ...consultancy looking to hire an Associate Actuarial Consultant to join...  ...projects, including de-risking and member options work Work...  ...communicator with strong stakeholder management skills Motivated to...  ...facing expertise Why Join? Exposure to a wide variety of pension... 
    Suggested
    Long-term contract
    Full-time
    Hybrid working
    Flexible hours

    Eames Consulting

    London
    14 hours ago
  • £52k - £67k per annumEstimated
     ...monthly BAU deliverables for the portfolio managers and other internal and external...  ...Assist in the automation of performance and risk information production. • Prepare client...  ...models with primary focus on fixed income. Exposure to Brinson and Equity style attribution also... 
    Suggested
    Full-time
    Remote

    Amova Asset Management

    London
    1 day ago
  • £59k - £80k per annumEstimated
     ...decisions are informed by data and risk insights. You’ll join an...  ...knowledge through meaningful exposure and mentorship. If you’re excited...  ...here. Job summary As an Associate the Investment Desk within J.P...  ...error checking Ability to manage recurring deliverables while prioritizing... 
    Suggested
    Long-term contract

    JPMorgan Chase & Co.

    London
    6 days ago
  • £49k - £64k per annumEstimated
     ..., financial service providers, and fund managers. We help them buy and sell financial products...  ...the world, raise funding, and manage risk. This is a dynamic, entrepreneurial team...  ...seeking an entrepreneurial and driven Analyst or Associate to join the Global Markets team in London... 

    Goldman Sachs

    London
    3 days ago
  • £55k - £73k per annumEstimated
     ...capital stack to generate alpha through our in-house investment, and asset management capabilities. We are looking for a suitable candidate to join our Real Estate team as an Analyst/Associate. Responsibilities Contribute to the development of investment strategies... 
    Long-term contract
    Permanent
    On-site
    Work from home

    GIC

    London
    7 days ago
  • £52k - £68k per annumEstimated
     ...capital across a range of fixed income and credit opportunities, leveraging our decades of...  ...financing and investors who seek strong risk-adjusted returns. Since 1971, our...  ...Job Description We are seeking an Analyst / Associate to join our Client Solutions & Analytics... 
    Full-time
    Flexible hours

    PIMCO

    London
    21 days ago
  • £43k - £57k per annumEstimated
     ...Responsibilities  / Take responsibility for development and management of financial models and valuation analysis in support...  ...experience  /  At least 2 years of experience for Analyst or 3 years of experience for Associate in Banking, Finance, Accounting or Real Estate with a... 
    Flexible hours

    Yondr Group

    London
    a month ago
  • £37k - £49k per annumEstimated
     ...and real estate-related assets outside of Singapore. We manage a well-diversified portfolio covering over 40...  ...a suitable candidate to join our Real Estate team as Analyst / Associate in London – focusing on credit and hybrid investments across the capital structure.... 
    Long-term contract
    Permanent
    Hybrid working
    On-site
    Work from home

    GIC

    London
    12 days ago
  • £56k - £72k per annumEstimated
     ...ensuring all operations align closely with our risk aggregation strategy. You'll gain...  ...ensuring that complete and accurate exposure data—both aggregated and modeled—is prepared...  ...To assist with completion of all exposure management related regulatory requirements /reporting... 

    Ki

    London
    13 hours ago
  • £5k per annum

     ...The role of the Analytics Associate sits within the Hometrack Analytics...  ...The wider team includes, data analysts and analytics consultants, responsible for valuation and risk model innovation and...  ...a structured approach to task management. REQUIREMENTS KEY RESPONSIBILITIES... 
    Full-time
    On-site

    Hometrack

    London
    26 days ago
  • £27.27k - £34.08k per annum

     ...Title - Associate Data Analyst Location - London Salary - £27,265 - £34,082 About CDP: CDP is a global non-profit that runs the world...  .... Experienced working according to agile project/product management is desirable. Applied experience with CRM tools and... 
    Permanent
    On-site
    Flexible hours

    CDP Global

    London
    more than 2 months ago
  • £66k - £89k per annumEstimated
     ...Job Summary: As a Business Resiliency Associate in the International Consumer Bank central...  .... Support incident and crisis management activities, focusing on minimising customer...  ...servicing. Have prior experience in a Risk & Controls, Business Management, Operational... 
    Long-term contract

    JPMorgan Chase & Co.

    London
    9 days ago
  • £35k - £40k per annum

     ...you. About the role The Support Analyst assists customers with addressing any issues...  ...to develop a skill set in project management and customer support. They will be a proactive...  ...the Customer Success Team on customer risks and issues, ensuring alignment on key concerns... 
    Full-time
    Hybrid working
    On-site
    Monday to Friday
    Shift work

    Xelix

    London
    26 days ago
  • £56k - £73k per annumEstimated
     ...financial flexibility through extended credit lines. Businesses such as financial software...  ...more at ABOUT THE ROLE As Credit Risk Manager you be responsible for credit risk...  .... You will own a book of large credit exposures. In addition to case processing, you will... 
    Remote job
    London
    a month ago
  • £90.99k - £100.09k per annum

     ...Evaluate and monitor credit risk for a portfolio of financial products and clients. Develop and implement credit risk policies and frameworks...  ...analyse, and present portfolio‑level credit risk MI, including exposures, concentrations, trends, and early warning indicators.... 
    Temporary

    Michael Page

    London
    more than 2 months ago
  • £100k per annum

     ...independent consultancy looking to hire a Senior Risk Transfer Consultant to join its expanding...  ...and advisers across the market Manage multiple projects and stakeholder relationships...  ...and flexibility within the role Broad exposure to a wide range of risk transfer projects... 
    Full-time

    Eames Consulting

    London
    1 day ago
  • £70k per annum

     ...Quant Analyst – Risk and Model Testing £70k plus large Bonus Quant Capital is urgently looking...  .... Our client is a well-known Asset Manager they operate in the Fixed Income and ETF...  ...to build upon these. • Any degree of exposure to VBA, JavaScript and noSQL databases is... 
    Hybrid working

    Quant Capital

    London
    more than 2 months ago
  • £46k - £60k per annumEstimated
     ...economies they drive. The team The Credit Risk Modelling team builds and improves the...  ...includes data scientists, developers, and risk analysts, all working hybrid schedules in London....  ...plans objectives for each quarter and manages progress with weekly meetings. They also... 
    Full-time
    Hybrid working
    On-site
    Flexible hours
    Night shift

    iwoca.co.uk

    London
    8 hours ago
  • £76k - £101k per annumEstimated
     ...Job Description Be part of a team that plays a critical role in managing counterparty credit risk across global markets. You will work on exposure measurement, margin methodologies, and risk insights that directly impact business decisions. The role offers exposure to complex... 
    Long-term contract

    JPMorgan Chase & Co.

    London
    9 days ago
  • £68k - £88k per annumEstimated
     ...strategic business outcomes, including cost management, rapid innovation, and environmental...  .... About the Role The  Audit, Risk & Controls Analyst, supports Nscale's internal control...  ...from a Big 4 or equivalent firm • Exposure to SOX compliance programmes, including... 

    Nscale

    London
    29 days ago
  • £65k per annum

     ...Conduct Risk Analyst – Insurance London / Hybrid An innovative and rapidly growing insurance business is seeking...  ...compliance professional looking to broaden their exposure across conduct risk, complaints management and underwriting compliance within a dynamic and technology... 
    Hybrid working

    IPS Group

    London
    21 days ago
  •  ...G MASS is acting in support of a Lloyd's managing agent client who requires specialist consultant...  ...to assist with a Consumer / Conduct Risk wordings review programme. This engagement...  ..., and terms that may present conduct risk exposure, particularly in relation to vulnerable customer... 

    G MASS

    London
    8 days ago
  •  ...This role sits within a specialist third-party managing agent team embedded directly into client operations at Lloyd's. The Risk Analyst supports the client's risk management...  ...reports Competent with Excel and data tools; exposure to GRC platforms or risk systems an advantage... 

    G MASS

    London
    15 days ago
  •  ...debt recovery to mitigate the risk of losses. The role will involve...  .... This role reports to the Associate Director of Portfolio Risk and...  ...value to all aspects of the management of the LendInvest loan book....  ...direction on all types of lending exposure Proactively contribute to... 
    Temporary
    Hybrid working
    On-site
    Remote

    LendInvest

    London
    11 days ago
  • £52k - £69k per annumEstimated
     ...Senior Catastrophe Risk Analyst (Marine & Energy) Role Role:  Senior Catastrophe Risk Analyst...  ...will take central responsibility for exposure across their Marine and Energy catastrophe...  ...teams to ensure robust capital management Requirements Strong Catastrophe Modelling... 
    Hybrid working
    Immediate start
    Work from home
    Flexible hours

    Hunter Bond

    London
    14 days ago
  • £48k - £63k per annumEstimated
     ...A specialist insurance broker is looking to appoint a Credit Risk Specialist with a strong private equity focus to move into a client...  ...solutions designed to support transaction execution, manage credit exposure and unlock additional deal certainty. The role will involve... 
    Permanent
    London
    more than 2 months ago
  • £44k - £59k per annumEstimated
     ...Firm Risk Management (FRM) supports Morgan Stanley to achieve its business goals by partnering with business units across the...  ...advisor to the Board and protecting the Firm from exposure to losses as a result of credit, market, liquidity, model and other risks. We are looking... 
    Full-time
    Flexible hours

    Morgan Stanley

    London
    1 day ago
  • £90k - £100k per annum

     ...Details We are working with a global risk carrier who are seeking a nearly / newly...  ...London. This is a broad role offering exposure to both strategic reserving oversight and...  ...have strong communication and stakeholder management skills, a commercial mindset, and preferably... 
    Full-time
    Flexible hours

    Arthur Financial

    Central London
    1 day ago

Do you want to receive more vacancies?

Subscribe and receive similar vacancies to Credit Risk Exposure Manager (Analyst / Associate). Be the first to apply!