AVP/VP Leveraged Finance- Corporate Credit Analysis
Two positions have opened up in a Top Tier Bank, one at AVP level, and the other at VP level.
Responsibilities
- Ensuring adherence to credit and other relevant internal policies and practices.
- Senior level interaction and collaboration with origination/product bankers
- Senior level interaction with the clients in your portfolio.
- Ensuring timely and insightful annual and interim credit reviews including assessment of performance against forecasts and compliance with terms and conditions.
- Preparation of credit papers and ancillary documentation including collaboration with origination/product teams
- Dynamic monitoring and reporting of credit risk profiles and trends including effecting timely risk rating changes.
- Making recommendations regarding risk management appetite and strategy to achieve the optimum risk/reward balance.
- Prompt escalation, as may be appropriate, regarding developments and recommendations for required action.
- Review of due diligence and involvement in due diligence sessions.
- Independent assessment and recommendations to Approval Committees and Senior Risk Approvers regarding the creditworthiness of proposed transactions.
- Collaborating with origination/product teams, internal/external counsels and clients on the structuring and documentation for debt financings, derivative transactions and operational/treasury products.
- Leadership, tutoring and mentoring of junior team members.
- Involvement in the preparation of periodic reviews and recommendations for Leveraged Finance portfolio as a whole.
Skills
- Track record of collaboration with origination/product partners, clients and other stakeholders to achieve the optimal risk/reward balance.
- Detailed knowledge and in-depth experience of the EMEA Leveraged Finance Market and trends
- Detailed familiarity with Leveraged Finance transactions, products, structures and documentation
- Sound product/technical and process knowledge across lending and derivative products.
- Strong credit and analytical skills.
- Ability to manage a portfolio and to independently assess counterparties crossing diverse industries and jurisdictions.
- Strong risk judgement and ability to articulate and defend the same.
- Strong modelling skills
- Excellent written and verbal communication skills.
- Strong negotiation and structuring skills
- Strong leadership, tutoring and mentoring skills.
- Sound product/technical and process knowledge across lending and derivative products.
Leave a Reply
You must be logged in to post a comment.