New York City ?(New York, NY)
Permanent
Corporate and Investment Banking
Added on 04/03/2012
About the company
Our client is a major Global Banking Powerhouse.
Job description
Responsible for the risk management of a portfolio of clients. Ensure authorised frameworks and systems are effectively used in the management of risk/credit decisions so as to achieve an optimum outcome for the Group. Contribute to business by assisting in product structuring to meet client needs and by consistently providing a high level of customer service.
Key Task Types / Accountabilities
" Risk Assessment, Management and Measurement
1. Responsible for a portfolio of clients, including periodic credit and rating reviews, compliance reviews, exposure monitoring and breach reporting.
2. Provide structuring advice, analyse, prepare, review and approve credit on proposals. Assist with the execution of loans through review of legal documents and clearance of conditions precedent.
3. Provide specialist advice and input at Review Panel and on proposals.
4. Understand the impact of industry issues and change in internal/external credit environments on the credit quality of clients in the portfolio.
5. Make suggestions for improvements to policies and systems and contribute to the development of models to improve the Bank's competitive position.
6. Contribute to business development through participation in internal/external client meetings and identifying cross sell opportunities.
7. Contribute to regulatory reporting and preparation for examinations by the local regulator
8. Understand the importance of and be aware of operational risks. Contribute to the management of such risks.
" Leadership / Management
9. Provide advice and assistance to direct reports on product structuring and credit decisioing.
10. Apply leadership and/or team membership behavior consistent with the principles.
11. Apply the management systems and processes of the organisation to effectively carry out your accountabilities in relation to your direct report, including career planning, monitoring of outcomes, and reporting.
" Client/Internal Client/Business Partners:
Who we are looking for
Essential
" Tertiary qualification (or equivalent) in a finance related discipline.
" At least 3 years experience in a risk position dealing with credit and operational risk.
" Extensive knowledge and experience in corporate, project, structured asset or property risk management. Desirable
" Experience in an Institutional Banking department in a major financial institution.
" Understanding of market risk.
" Experience in international markets.
" Post graduate degree in a finance related discipline.
" Experience in positions in customer facing product roles in a major financial institution.
" Experience in people management.
What's on offer
$Base plus $Bonus
Michael Page Contact
For further info, apply or phone on +1 212-661-4800.
Your application will be sent to
Paul Webster
with the reference
1235634.
Reference : UFPE1235634
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