Due to continued growth, they are looking to hire an experienced debt professional to manage a portfolio of corporate debt and structured finance loans on behalf of an institutional investor.
Responsibilities:
- Monitor the development of individual portfolio transactions, perform market and sector research and analysis and inform management as well as client of any material developments on a portfolio of loans.
- Review/update of cash flow models (incl. base case and downside/stress case scenarios) to assess future performance and risks.
- Prepare internal ratings in accordance with applicable guidelines, in an efficient and timely manner.
- Regular analysis of key risks including financial risk and operational risk.
- Analyse, evaluate and comment on drawdown requests and transaction related financial, technical and legal reporting provided by borrowers and/or advisors as applicable.
- Attend site visits and borrower meetings.
Requirements:
- Experience in corporate debt or structured finance.
- Comfortable in a client facing role and ability to confidently present recommendations up to credit committee level as well as investors.
- Solid analytical and technical skills and ability to understand complex loan documentation and financing structures.
- Ability to work independently and to client deliverables deadlines.
- Good financial modelling skills.