Risk MI & Reporting Analyst

at  Admiral

Cardiff, Wales, United Kingdom -

Start DateExpiry DateSalaryPosted OnExperienceSkillsTelecommuteSponsor Visa
Immediate23 Apr, 2025Not Specified23 Jan, 2025N/AGood communication skillsNoNo
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Description:

CLOSING DATE

05/02/2025
Admrial Money is looking for a Risk MI & Reporting Analyst to join the team!
About Admiral Money
Admiral Money is an exciting, new division of Admiral Group. We have the freedom and innovation of a small start up with the security of a large parent company, Admiral.
The journey started when we launched unsecured personal loans in June 2017. We went on to be the first direct to consumer car finance provider in December 2017. Since then, we have gone from strength to strength and have some exciting plans for the future.
We’re looking for people who are keen to learn, excited about getting stuck in and are ready for a challenge to help us to achieve our aim of creating a special lending business for our customers.
About the role

This role sits within our Financial & Credit Risk function where our mission is to provide robust risk management solutions for our three product lines (Unsecured Loans, Motor Finance and Mortgages). The successful candidate will be able to quickly fit into a fast-moving, innovative, and high-profile environment, and will be required to hit the ground running. You’ll be at the heart of our risk analytics team, working with senior analysts to:

  • Create compelling data visualisations and MI dashboards that tell the story behind our portfolio performance
  • Get hands-on with our IFRS 9 provision models, learning how we forecast and manage credit risk
  • Collaborate with Credit Risk experts to spot emerging trends and patterns
  • Turn complex data into actionable insights that drive business decisions
  • Embed strong credit risk management frameworks

What You’ll Need:

  • Analytical mindset with a hunger to learn
  • Degree in Mathematics, Economics, Statistics or similar field
  • Strong Excel skills and eagerness to master SQL
  • Interest in consumer credit, mortgages and financial services
  • Keen eye for detail and problem-solving abilities
  • Excellent communication skills

We’ll Teach You:

  • Advanced SQL and Python
  • Credit risk modelling and IFRS 9 methodologies
  • Portfolio analysis and risk management
  • Business intelligence tools like Power BI

Salary, Benefits and Work-Life Balance
At Admiral, we are proud to be a diverse business where we put our people and customers first. We have great benefits to ensure employees have a great work-life balance; it’s one of the reasons we’re consistently voted one of the Sunday Times Best Big Companies to Work For in the UK.
All colleagues will receive 33 days holiday (including banks holidays) when they join us, and this will increase with length of service, up to a maximum of 38 days (including banks holidays). You also have the option to buy or sell up to five days of annual leave in addition to your allocation.

LI-IM1 #LI-Mone

Responsibilities:

  • Create compelling data visualisations and MI dashboards that tell the story behind our portfolio performance
  • Get hands-on with our IFRS 9 provision models, learning how we forecast and manage credit risk
  • Collaborate with Credit Risk experts to spot emerging trends and patterns
  • Turn complex data into actionable insights that drive business decisions
  • Embed strong credit risk management framework


REQUIREMENT SUMMARY

Min:N/AMax:5.0 year(s)

Financial Services

Accounts / Finance / Tax / CS / Audit

Finance

Graduate

Economics, Mathematics, Statistics

Proficient

1

Cardiff, United Kingdom