Risk Manager - Credit

Millennium • london, england, United-Kingdom • Posted June 17, 2026

Location london, england
Job Type Full-time
Category Finance
Posted June 17, 2026

The Firm seeks a senior Risk Manager to join its Credit Risk Management team in London. The successful candidate will oversee the independent risk management of credit portfolios across corporate bonds, loans, credit derivatives, and structured credit in EMEA, US & Asia.

Primary Responsibilities Include

  • Own independent risk oversight: Oversee global credit portfolios, with a clear view of exposures across credit spread, default, recovery, curve, basis, convexity, embedded optionality, ratings migration, financing, liquidity, and correlation.
  • Analyze P & L and risk: Analyze risk drivers, P & L attribution, hedging efficiency, scenario behavior, and tail outcomes for portfolios trading corporate bonds (investment grade and high-yield), leveraged loans, credit indices (CDX, iTraxx), single-name CDS, tranches, and structured products such as CLOs and non-agency MBS.
  • Develop and oversee risk guidelines: Establish guidelines for portfolio con...

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