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NatWest Group

Credit Portfolio Manager

1w

NatWest Group

London, GB · Full-time · £90,000 – £130,000

About this role

Join us as a Credit Portfolio Manager in our Risk Insights team. You’ll collaborate with senior stakeholders to manage and mitigate credit risks across the Corporate & Institutional Banking (CIB) portfolio. This critical role ensures all risks are identified with effective controls in place.

Oversee credit risk management for key business segments like Financial Institutions, Funds & Sponsors, and Securitisation. Lead monthly portfolio reviews providing actionable insights to senior management. Drive strategic risk appetite decisions and regulatory compliance.

Collaborate closely with Risk Reporting, Balance Sheet Management, and Finance partners to influence sector strategies. Influence senior stakeholders within CIB and Director of Risk C&I for effective portfolio management. Champion continuous improvement in risk processes.

This exciting opportunity advances your career at a leading financial institution. Contribute to evolving risk appetite frameworks and change initiatives. Enhance risk management capabilities through innovation.

Requirements

  • Extensive experience managing credit risk across CIB financial institutions business
  • Proven experience managing credit risk in financial institution portfolios including funds, securitisations, and finance companies
  • Strong understanding of the end-to-end credit lifecycle and risk management frameworks
  • Excellent stakeholder management and communication skills with history of influencing senior leaders
  • Solid knowledge of financial markets, regulatory environments, and risk analytics
  • Proficiency with analytical tools and ability to simplify complex data for decision-making
  • Commitment to delivering excellence, innovation, and continuous improvement

Responsibilities

  • Manage and mitigate credit risks across the Corporate & Institutional Banking (CIB) portfolio
  • Oversee credit risk management for key business segments ensuring robust risk controls
  • Lead monthly portfolio reviews for Financial Institutions, Funds & Sponsors, and Securitisation portfolios
  • Provide actionable insights to senior management
  • Collaborate with Risk Reporting, Balance Sheet Management, and Finance partners to influence sector strategies
  • Drive regulatory compliance and contribute to risk appetite frameworks
  • Champion continuous improvement efforts to enhance risk management processes

Benefits

  • 35 hours per week
  • Hybrid ways of working