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Jobs / Risk Manager in United Kingdom
22 days ago
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NJ
Nexus Jobs·22 days ago
22 days ago

Credit and Risk Manager

London, United KingdomFull-timeSenior · 5-7 years₹52.5L – ₹57.8L/yr · est.Risk Manager

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Must-have skills for this role

  • credit management
  • risk management
  • risk assessment
  • quantitative analysis

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Apply faster with autofill FREEThe NextRaise extension autofills your application in one click.careers.example.com/applyAutofillingFull namePriya SharmaEmailpriya.sharma@example.comPhone+49 30 1234567LocationBerlGet the extension

What you'll do

  • Proactively advising and consulting business departments regarding risk management issues such as credit, market, country and investment risk and negotiating with the insurer, lawyers and insolvency administrators regarding bad debt.
  • Assess and analyse credit risk issues from business departments in the EMEA region
  • Make quantitative and qualitative analysis of each customer and to provide necessary advices to business staff and make recommendations to senior management for establishing of credit lines as well as for making decision for investment.
  • Meet customers and risk investigation agencies and collect risk related information.
  • Monitor overdue & over-credit situation of each customer and try to find its reason and help to avoid such situation.
  • Create and execute strategies for recovery of debts from problematic customers across EMEA region.
  • To assist problem solving whenever being arisen.
  • Improve risk management mind of all business staff of EMEA by educational activities
  • Make necessary reports relating to risk management with special monitoring for key accounts of the Company.
  • Accurately and efficiently assess credit, trade, market and country risk of trading entities within EMEA business unit, and make appropriate advices to business staffs in order to create risk / return well balanced business.
  • Find out significant risk and problems within the territory and to think of solutions.
  • Compile, consolidate, monitor and report on risk related positions within EMEA region for senior management and head office review.

What they're looking for

  • At least 5 to 7 years experience in Credit and Risk Management.
  • Strong experience within risk management field as B to B basis (not B to C), in multinational trading companies, credit insurers, or banks.
  • Undergraduate degree in Maths, Economics, Finance, legal or related subject.

Nice to have

  • Legal background is also welcomed.
  • Proactive attitude with strong passion is preferred.
  • Ideal candidate is someone with Chemical/Steel/Food Industry exposure and strong Business to Business experience.

Summarised by NextRaise from the employer’s description, which follows in full below.

Full description from employer

Credit and Risk Manager – City London

Our Client is seeking to recruit a Credit Manager with at least 5 to 7 years experience in Credit and Risk Management.

Proactively advising and consulting business departments regarding risk management issues such as credit, market, country and investment risk and negotiating with the insurer, lawyers and insolvency administrators regarding bad debt.

Assess and analyse credit risk issues from business departments in the EMEA region

Make quantitative and qualitative analysis of each customer and to provide necessary advices to business staff and make recommendations to senior management for establishing of credit lines as well as for making decision for investment.

Meet customers and risk investigation agencies and collect risk related information.

Monitor overdue & over-credit situation of each customer and try to find its reason and help to avoid such situation.

Create and execute strategies for recovery of debts from problematic customers across EMEA region. To assist problem solving whenever being arisen.

Improve risk management mind of all business staff of EMEA by educational activities

Make necessary reports relating to risk management with special monitoring for key accounts of the Company.

Accurately and efficiently assess credit, trade, market and country risk of trading entities within EMEA business unit, and make appropriate advices to business staffs in order to create risk / return well balanced business.

Find out significant risk and problems within the territory and to think of solutions.

Compile, consolidate, monitor and report on risk related positions within EMEA region for senior management and head office review.

Report in writing, including the Over-credit / Overdue reports.

Strong experience within risk management field as B to B basis (not B to C), in multinational trading companies, credit insurers, or banks. Legal background is also welcomed.

Proactive attitude with strong passion is preferred.

Undergraduate degree in Maths, Economics, Finance, legal or related subject.

Ideal candidate is someone with Chemical/Steel/Food Industry exposure and strong Business to Business experience.

Salary will be in the range £50K - £55K.

Please send your CV to us in Word format.

Company

NJ
Nexus Jobs
London, United Kingdom

Company facts come from this company's own listings. We only show what the postings themselves carry.

Sourced from Nexus Jobs's careers site·first seen 22 Sept 2026·last verified 22 Sept 2026·How we source jobs

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