Portfolio Risk Analyst Asset Finance Greater London Competitive Salary, Bonus and excellent Benefits package James George Recruitment is working closely with a leading provider of vendor and equipment finance, supporting a wide range of industries to arrange finance for a variety of Hard and soft assets. This Portfolio Risk Analyst position sits within the Credit Risk function and focuses on portfolio analysis, automated decisioning systems, and collections activity. You will analyse trends, produce insightful reporting, and support Risk, Sales, Business Development, and Collections teams with data-driven insights to support effective decision-making and continuous improvement. Key Responsibilities Produce and test portfolio and risk reports Analyse portfolio trends and performance Support and develop automated credit decisioning tools Merge, manage, and analyse data from multiple sources Deliver standard and bespoke reports to stakeholders Identify data quality issues and recommend improvements Support ad-hoc analysis and project work Skills & Experience Strong analytical and problem-solving skills Experience with Power BI, Dataverse, and advanced Excel Background in leasing or financial services is strongly preferred Ability to communicate complex data clearly to non-technical audiences Strong organisational skills and attention to detail Ability to work independently and collaboratively This is a great opportunity to join a top player in the industry where your hard work and success will really be noticed and rewarded. Please contact Adam Sommerville if you would like to discuss the role in more detail.