Credit Portfolio Manager (m/f) – Leverage Finance Group (LFG) recruitment

The Investment Finance Origination divisions of the Bank participate in investment grade syndications and leveraged debt transactions. The international team sources deals from both the primary and secondary markets.

Description

• Actively manage a portfolio of non investment grade and investment grade financings in Europe

• Actively review due diligence, liaise with third party advisors and support originators within the ongoing transaction screening process.

• Candidates will be responsible to analyze client management accounts and annual financial statements

• Candidates will analyze new lending and investment proposals including credit quality, collateral and monitoring framework

• Attend bank presentations and build relationships with company senior management as well as other agency members.

• Review waiver and amendment requests and escalate recommendations with supporting credit documentation to senior management; while managing customer expectations appropriately.

Skills

• University degree or equivalent preferred

• Two to six years commercial or investment banking experience in lending or risk-related roles

• Minimum three years experience in cash flow-based lending within a portfolio management, risk, or orgination unit that cover assets such as: leveraged, high yield or structured finance

• Detailed knowledge of credit-related legal documentation and the establishment of appropriate covenants

• Experience with credit risk assessment methodologies, rating agency criteria and knowledge of risk-pricing techniques

• Knowledge of standard computer applications

• Proficiency in German is essential

Please send you application to kontakt@cobaltrecruitment.com with reference to Position Germany 27197.