Looking For New Opportunities?

Associate Director - Portfolio Management Structured Finance

  • : £80,000 - £120,000
  • : Permanent
  • : London
  • : Banking

APPLY NOW


Share This Job

Structured Finance Portfolio Management Risk Market Practice



Job Specification

We have an exciting opportunity for an Associate Director to join a leading Bank in their Structured Finance Portfolio Management team, based in London.

As the Associate Director within Portfolio Management your main responsibilities will involve taking primary responsibility for the close management of the risks associated with a dynamic portfolio of selected clients in the Structured Finance (Corporates or Sponsors) portfolio.

As an Associate Director, Structured Finance Portfolio Management your main responsibilities will be

  • Managing a dynamic portfolio of structured finance transactions.
  • Monitoring of management information, covenant compliance and sector information.
  • Analysing requests to support customers with requirements for additional facilities, including compiling credit applications and presenting requests to Credit Committees.
  • Ensuring clients comply with information requirements including provision of covenant compliance certificates

Minimum Skills And Experience Required

  • Solid post graduate experience or similar, must have an understanding of financial accounts, financial covenants, a broad understanding of leverage, cash flow lending and interest in structured finance
  • Experienced risk management professional able to interact with clients and professional advisers.
  • Corporate financial analysis experience, strong interpersonal skills are desirable.
  • Experience in risk, structured finance, and portfolio management or have a strong skill set in financial analysis or an understanding of the leveraged finance market deal environment.
  • Knowledge of current market practice.
  • Good communication, influencing and negotiation skills

APPLY NOW

 

People Also Viewed

Director - Structured Finance

  • : £110k-125k basic + bonus
  • : London
  • : Permanent
  • : Banking

Finance Portfolio Management Credit Risk Regulatory Requirements Risk Management Analytical Skills New Business Opportunities Stakeholder Management Structured Finance Loan Origination

 


Associate – Power and Renewable Project Finance

  • : £55,000 - £70,000 + Bonus
  • : London
  • : Permanent
  • : Banking

Research Finance Market Research Risk Management Analytical Skills Legal Aspects Renewable Energy Credit Analysis Project Finance

 


Model Risk - Advisory

  • : £75,000 to £100,000
  • : London
  • : Permanent
  • : Banking

Quant Buyside Valuations Models Risk Governance Insurance Pensions Asset Management

 


Senior Manager - Valuations

  • : £75,000 - £100,000
  • : London
  • : Permanent
  • : Banking

Valuation Model Governance Risk Management Financial Instruments

 


Global FP/A Manager

  • : €75,000 - €90,000
  • : London
  • : Permanent
  • : Banking

Forecasting Finance Budgeting Strategic Planning Financial Accounting

 


Valuations and IPV Model Specialist - VP Buyside

  • : £80,000 to £100,000 + Benefits & Bonus
  • : London
  • : Permanent
  • : Banking

Valuation Methodology Valuation models Quant Analyst Model Validation Model Review Model Development IPV Independent Pricing Verification Asset Management Investment Management Fund Management

 


Can't find the role that you are looking for?

Due to reasons of confidentiality, there are additional mandates we are actively working on that are not advertised.

If you are currently working in one of our specialist areas and are keen to explore new opportunities,please reach out to one of our experienced consultants, discretion is assured and all communications will be strictly confidential.

Contact Us

Follow Us

Maxfield LinkedIN Maxfield Twitter Maxfield Facebook

© 2009 Maxfield Search. All rights reserved