Credit Portfolio Manager
NatWest Group - belfast, antrim
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Our people work differently depending on their jobs and needs. From hybrid working to flexible hours, we have plenty of options that help our people to thrive.This role is based in the United Kingdom and as such all normal working days must be carried out in the United Kingdom.Job DescriptionJoin us as a Credit Portfolio ManagerWorking in our Risk Insights team, you’ll collaborate with senior stakeholders and play a vital role in managing and mitigating credit risks across our Corporate & Institutional Banking (CIB) portfolioIt’s a critical role which will see you making sure that all risks have been identified and effective controls are in place to monitor, manage and mitigate such risksYou’ll have the chance to collaborate with and influence senior stakeholders within CIB and Director or Risk C&I, to ensure the portfolio is effectively managedThis is an exciting opportunity to advance your career with a leading financial institutionWhat You'll DoAs a Credit Portfolio Manager within our C&I Banking division, you will oversee credit risk management for key business segments, ensuring robust risk controls and driving strategic risk appetite decisions.You’ll also:Lead monthly portfolio reviews for Financial Institutions, Funds & Sponsors, and Securitisation portfolios, providing actionable insights to senior managementCollaborate closely with Risk Reporting, Balance Sheet Management, and Finance partners to influence sector strategies and budget planningDrive regulatory compliance and contribute to evolving risk appetite frameworks and change initiativesChampion continuous improvement efforts to enhance risk management capabilities and processesThe Skills You'll NeedTo join us in this role, you’ll need extensive experience of managing credit risk across our CIB financial institutions business. You’ll have experience in the end-to-end credit lifecycle and have an understanding of risk management processes.You’ll also need:Proven experience managing credit risk in financial institution portfolios, including funds, securitisations, and finance companiesA strong understanding of the end-to-end credit lifecycle and risk management frameworksExcellent stakeholder management and communication skills, with a history of influencing senior leadersSolid knowledge of financial markets, regulatory environments, and risk analyticsProficiency with analytical tools and ability to simplify complex data for decision-makingCommitment to delivering excellence, innovation, and continuous improvement
Created: 2025-12-13