Full-Time

Credit Officer

Corporates Credit

Posted on 7/4/2026

Bank of America

Bank of America

10,001+ employees

Global banking, investing, and wealth management

No salary listed

London, UK

In Person

Category
Finance & Banking (1)
Required Skills
Risk Management
Excel/Numbers/Sheets
Financial Modeling

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Requirements
  • Credit risk experience at a major international financial institution, analysing, assessing companies and knowledge of EMEA and specific industry sectors, structuring transactions and documentation.
  • Effective credit skills, risk judgment and broader risk awareness and understanding of the wider business, market and regulatory environment in which the bank operates, and how that impacts client and portfolio’s credit profile and ability to defend rigorously a fact-based point of view.
  • BA/BSc degree (or equivalent); Finance, Accounting or Economics would be beneficial.
  • Sound product/technical, documentation and process knowledge across lending, trade finance and derivative (FX, rates, commodities and equities) products.
  • Acting as an agent of change/improvement, influencing corporate policy/procedure and projecting a positive strategic vision.
  • Commercial mindset to support value added discussions with effective interpersonal and written and verbal communication skills, and attention to detail and accuracy.
  • Fluency with use of Microsoft Office applications, particularly Excel; including ability to prepare and/or review company specific financial models in Excel.
  • Strong organisational skills with ability to prioritise and work under pressure, drive deal selection, negotiate solutions, strong transaction management process, and proactively manage credit risks.
  • Fluency in English required. Additionally, another European language skills highly beneficial.
Responsibilities
  • Perform financial and credit analysis, risk rating analysis ensuring adherence to prevailing credit policy and procedures for an assigned portfolio.
  • Independently assess credit worthiness, perform intensive qualitative and quantitative due diligence of prospective borrowers and/or trading counterparties and establish appropriate terms and conditions to mitigate risk.
  • Structuring transactions, underwriting and negotiating credit documentation designed to meet both client and investor needs including credit agreements, amendments, derivative documentation.
  • Ensuring granularity of the portfolio with specific reference to targets for net country/credit capital, legally binding commitments, total exposure and asset quality.
  • Establish appropriate internal risk ratings for clients and implement accurate adjustments throughout the client’s credit life cycle.
  • Ensuring that the portfolio and credit management process are at all times rated "satisfactory" by internal auditors, the Credit Review group and external Regulators.
  • Develop a deep understanding of product spectrum and portfolio at client, industry, macro level to assess risk and craft value added solutions balancing risk.
  • Develop, maintain, and manage internal relationships with business partners including Corporate and Investment Bankers, Sales & Trading, Risk Management, Syndications, and Legal.
  • Participate in strategic projects to support business goals.
  • Providing provide coaching and development to junior teammates.
Desired Qualifications
  • None

Bank of America provides a full range of financial services to individuals, small businesses, and large corporations, including banking, investing, asset management, and risk management products. Customers access services via branches, online and mobile banking, and advisory and trading capabilities across consumer banking, wealth management, corporate and investment banking. Its breadth, scale, and global reach enable cross-service solutions and large-scale operations that few peers match. Its goal is to be a trusted, full-service financial partner helping customers manage money, grow assets, and navigate risk.

Company Size

10,001+

Company Stage

IPO

Headquarters

Charlotte, North Carolina

Founded

1904

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Simplify's Take

What believers are saying

  • Q2 2025 profit jumped 27% to $9.1 billion with earnings per share up 34%.
  • Stock-trading revenue surged 70% to $3.62 billion driven by elevated client activity.
  • Zacks projects 137% year-over-year earnings growth for 2026 amid an investment banking revival.

What critics are saying

  • JPMorgan Chase's $21.2B Q2 2025 profit intensates trading-infrastructure fee competition pressuring BofA earnings.
  • Goldman Sachs' record $6.63B net profit from underwriting fees challenges BofA's corporate banking dominance.
  • Rising equipment loan defaults in construction and manufacturing amid 2026 rate volatility expose securitization risk.

What makes Bank of America unique

  • Bank of America serves 56 million U.S. consumer and small business relationships.
  • The bank is a global leader in corporate and investment banking and trading.
  • It ranks among the world's leading wealth management companies with full financial product range.

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Benefits

Health Insurance

Dental Insurance

Vision Insurance

Life Insurance

Disability Insurance

Paid Vacation

Paid Sick Leave

Flexible Work Hours

Remote Work Options

Professional Development Budget

Conference Attendance Budget

Growth & Insights and Company News

Headcount

6 month growth

-5%

1 year growth

-5%

2 year growth

-5%
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