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обновлено 13 дней назад

Risk Underwriter - Trade Credit

63 000 - 95 000GBP
Формат работы
hybrid
Тип работы
fulltime
Английский
b2
Страна
UK
Вакансия из списка Hirify.GlobalВакансия из Hirify Global, списка международных tech-компаний
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Текст:
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TL;DR
Risk Underwriter - Trade Credit (Credit Risk/Insurance): Managing a diverse portfolio of trade credit risks and assessing corporate creditworthiness with an accent on financial analysis, underwriting discipline, and commercial judgement. Focus on evaluating credit limits, analysing financial statements and market intelligence, balancing risk appetite with profitable growth, and communicating complex assessments to stakeholders.

Location: London, United Kingdom; hybrid work model with an expectation to be in the office at least three days per week.

Base salary: £63,000–£95,000 per year for a full-time role, plus performance-based variable compensation and applicable benefits.

Company

Global provider of reinsurance, insurance, and insurance-based risk transfer solutions, with a commercial insurance business serving large and midsized multinational corporations.

What you will do

  • Manage a portfolio of trade credit risks and deliver robust credit risk analysis.
  • Assess credit limit requests and provide clear underwriting rationale.
  • Analyse financial statements, management accounts, cash flow, liquidity, leverage, and profitability metrics.
  • Build relationships with internal and external stakeholders, including brokers, buyers, and commercial teams.
  • Balance risk appetite with profitable growth and customer retention objectives.
  • Apply reinsurance strategies, maintain underwriting discipline, and contribute to peer reviews and knowledge sharing.

Requirements

  • Knowledge of the credit insurance market gained through underwriting, broking, or related financial services experience, or demonstrable experience assessing corporate credit and default risk.
  • Strong financial analysis skills and understanding of corporate credit risk.
  • Understanding of UK and global economic trends and their impact on corporate credit risk.
  • Knowledge of portfolio management principles, including concentration risk, sector exposure, and market cycles.
  • Strong stakeholder management, reasoning, problem-solving, and critical-thinking skills.
  • Ability to challenge stakeholders constructively, defend underwriting decisions, and form independent views.

Nice to have

  • Experience using financial and credit information providers.
  • Experience in banking, lending, restructuring, or financial risk roles.

Culture & Benefits

  • Collaborative and inclusive environment that encourages fresh perspectives and innovative thinking.
  • Flexible hybrid work model with location-specific and global benefits.
  • Performance-based variable compensation linked to achievements.
  • Opportunities to develop sector expertise and contribute to sustainability-focused work.

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