Job Description
Responsibilities
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Portfolio Management: Monitor and manage the credit portfolio, ensuring that it aligns with the company’s risk appetite and strategic objectives. Analyze portfolio performance metrics and implement strategies to optimize returns. Stakeholder Management: Track record in engaging and collaborating with various internal stakeholders including risk functions such as credit, legal and compliance teams. Reporting: Prepare and present comprehensive reports on portfolio performance, risk analysis, and strategic initiatives to internal stakeholders and portfolio reports to external stakeholders in relation to capital efficiency transactions. Actively manage capital efficiency transactions , which is key to the growth plans as the bank seeks to increase profitability as well as return on equity Data Analytics: Key support in management of capital efficiency transactions, including portfolio data analytics, data mining & optimization and preparation of surveillance reports for internal and external stakeholders. Deal Execution : To be involved in all aspects and provide support for capital efficiency transactions, from deal initiation, portfolio creation, internal approvals, stakeholders management, execution and post -closing surveillance reporting to investors (including replenishments). Strategic Development: Provide support and work closely with the local and regional teams to share ideas and analysis that can help develop the credit portfolio management and capital efficiency platform.
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