Posted 12 August, 2026
Counterparty Credit Risk Manager VP
CER Financial
London, ENG, GB
Full Time
Job Description
PERMANENT| 90,000.00-110,000.00PER ANNUMRECRUITER: | Simon Blau Counterparty Credit Risk Manager VPCity of LondonHybrid (3/2 split) Permanent 90 - 110kcer Financial are working alongside an exciting international bank, who are based in the City of London. They are seeking a Counterparty Credit Risk Manager VP to work with them on a permanent basis.The responsibilities of the Counterparty Credit Risk Manager VP will include:· Led Trading Credit Risk management across London and EMEA, ensuring timely risk decisions and regional oversight· Managed and enhanced Trading Credit Risk Appetite, monitoring, reporting, and governance frameworks· Oversaw daily counterparty risk monitoring, exposure analysis, and escalation of key risk drivers· Contributed to Credit & Counterparty Risk Committees with risk reporting, commentary, and recommendations· Maintained and enhanced risk policies, procedures, and governance frameworks in line with BCBS guidelines· Worked closely with Front Office, senior stakeholders, and regional entities to ensure consistent risk management practices· Automated exposure monitoring and reporting processes to improve efficiency and controls· Reviewed and approved trading credit risk documentation, including ISDA/CSA, GMRA, GMSLA, and MSFTA agreements· Managed large derivatives, fixed income, and securities financing portfolios across EMEA· Provided leadership, mentoring, and support to junior trading credit risk staffThe successful candidate will have: · Counterparty credit risk management expertise (Potential Exposure, Wrong Way Risk, Stress Testing)· Strong knowledge of Fixed Income and Derivative products (Bonds, Repos, Derivatives)· Advanced Excel and basic programming skills for analysis and automation· Experience with Power BI, Tableau, and data visualisation tools· Credit analysis experience across corporates, financial institutions, hedge funds, NBFIs, and SPVs· Understanding of collateral, master agreements, and risk mitigation techniques· Proficient in Excel, PowerPoint, Bloomberg, Prism, GBR, and Power BI dashboards
