Credit Risk Portfolio Manager
The Associate's primary responsibility will be supporting our client's investment grade lending business.
Critical functions include:
* Assessing risk factors with a credit and determining appropriate
* Active credit management of a designated portfolio utilizing solid credit and analytical skills
* Provide continuous oversight of portfolio names monitoring for potential upgrading, downsizing and credit deterioration with the goal of maximizing net income and reducing credit costs.
Breakdown:
* 70% Portfolio Management
* 15% Credit Underwriting
* 15% Other
* Bachelor's degree
* MBA or CFA preferred
* Formal credit training
* Strong financial modeling skills are a must
* 4 to 7 years of experience
* Series 79 63 required
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