Trade Finance – Credit Portfolio Manager recruitment
In this role, you will help lead portfolio risk appetite to enable the bank to achieve its return on equity (ROE) targets, as well as driving the development and implementation of portfolio management governance for the trade finance and working capital business. This broad-ranging and highly visible role will involve portfolio management, capital management / allocation, concentration risk, policy and appetite control etc.
To be considered for this role, you will need:
• Good knowledge of Trade Finance Working Capital products
• Strong analytical skills to digest and interpret complex concepts underpinning portfolio modelling performance
• Excellent relationship building and communication skills, in order to effectively interact with and build confidence among Portfolio Management’s diverse stakeholder groups – including: Risk teams, relationship teams, Treasury, Finance Capital teams
• Strong prioritisation, project management organisation skills
• Data manipulation skills and understanding of data issues to prepare and validate analysis would be an advantage in the role