Preparing credit papers with recommendation for decision-making across a spectrum of project finance, acquisition finance, lease finance and related derivatives transactions.
Direct analytical responsibility for a portfolio of credits and responsiblity for conducting credit and financial analysis and reviewing, challenging data / transaction material provided
Proactive monitoring and identification of key risks associated with clients, transactions and industry sub-sectors within an assigned portfolio including escalation of deteriorating credits and other problem situations.
Maintain a constructive and supportive relationship with origination and portfolio management teams on credit proposals relative to risk assessment and risk appetite considerations.
Degree level education and a track record of continued learning and development.
Minimum of 2 years experience in a credit analytical role within a major international bank, rating agency, accountancy firm or other financial institution.
Good working knowledge of asset lending proposals encompassing appropriate risk factor identification, assessment including sound cash-flow analysis, stress-testing and presentation as well as familiarity with documentation and market trends.
Strong written and verbal communication skills (supporting preparation of succinct and focused credit papers), and strong interpersonal skills
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