Portfolio monitoring and early warning identification
The role involves independently assessing and making credit decisions for complex financing transactions within the LevFin, SLF, and Hedge Funds sectors
Job Summary
The role involves independently assessing and making credit decisions for complex financing transactions within the LevFin, SLF, and Hedge Funds sectors.
Candidates must possess hands-on experience in corporate credit risk assessment focusing on global credits in the US and/or EMEA regions.
The position requires active engagement in portfolio monitoring, identifying adverse trends, and supporting senior management during regulatory examinations.
Matching Summary
The role involves independently assessing and making credit decisions for complex financing transactions within the LevFin, SLF, and Hedge Funds sectors.
Skills & Requirements
Must-have
Corporate credit risk assessment experience
Leveraged finance and high yield domain knowledge
Portfolio monitoring and early warning identification
US or EMEA regional credit analysis expertise
Credit committee presentation skills
Nice-to-have
International banking environment background
Strong analytical and big picture decision making
Ability to work in fast-paced multi-task environment
Experience with regulatory examinations and audits
Leadership and team coaching capabilities
Key Requirements
Hands-on experience in corporate credit risk assessment
Focus on High Risk/LevFin domain
Experience preparing annual credit reviews for Credit Committees