Financing & Risk Solutions Associate
NatWest GroupJob Description
Financing & Risk Solutions Associate
Join us as a Financing & Risk Solutions Associate
- In this role, you’ll help assess business performance using customer, revenue and capital efficiency measures to support informed decision-making
- You’ll support portfolio oversight across Institutional Banking Lending, contributing to reporting, risk identification and continuous improvement activities
- This is a great opportunity to build specialist domain expertise through structured training, self-development and internal mobility opportunities
- We're offering this role at associate level
What you’ll do
As a Financing & Risk Solutions Associate, you’ll support the effective management of transactions, making sure activities remain aligned with the bank’s conduct, operational, credit and regulatory requirements. You’ll collect and analyse portfolio data to identify covenant breaches, performance deterioration and early warning indicators across Subscription Line investor-backed lending facilities and NAV asset-backed lending facilities supporting Private Equity portfolios.
You’ll also help track utilisation across capital, leverage, funding and related measures, while contributing to portfolio monitoring, process improvement and automation initiatives that strengthen reporting, oversight and operational efficiency.
Your work will focus on:
- Maintaining the asset pipeline and working with stakeholders to provide accurate portfolio insights and reporting
- Conducting trend analysis to identify covenant or trigger breaches, escalating potential risks and deterioration indicators where appropriate
- Tracking resource consumption against budgeted levels and supporting actions to optimise capital and funding usage
- Building strong relationships with internal teams to support effective information flow and portfolio oversight
- Demonstrating awareness of regulatory obligations and internal policies, ensuring compliance in all activities
- Participating in internal workstreams and cross-functional initiatives that enhance the control environment and reporting infrastructure
The skills you'll need
You’ll need to hold an MBA in Finance or a CA, CFA or FRM qualification. You’ll have working knowledge of financial databases including Bloomberg, Intex, Reuters, Factset and Dealogic, alongside strong understanding of financial statements, including profit and loss, balance sheet and cash flow analysis.
You’ll also bring experience working within a daily cash management, fixed income, investment banking or credit research analytics environment supporting a debt business. Familiarity with fund structures and financing products, together with strong knowledge of ratio analysis, sector drivers and basic financial modelling, will be key to your success in the role.
You’ll also demonstrate:
- A basic understanding of portfolio concepts, including exposure, returns and risk metrics
- Strong working knowledge of Excel and data visualisation tools such as Power BI or Tableau
- Awareness of internal reporting processes and governance standards
- Experience compiling MI reports and supporting senior analysts or portfolio managers
- Experience of data validation, reconciliation, and trend analysis
- Strong communication and interpersonal skills, with the ability to build relationship with key stakeholders
- Strong communication and interpersonal skills with the ability to build relationship with key stakeholders
Hours
45Job Posting Closing Date:
23/07/2026Experience Level
Mid LevelJob role
Job requirements
About company
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The candidate should have completed the required education and people who have 2 to 31 years are eligible to apply for this job. You can apply for more jobs in Gurgaon/Gurugram to get hired quickly.
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