about the company.
A leading banking institution with a prominent presence in the Asia-Pacific region that provides comprehensive corporate and institutional financial solutions globally.
about the job.
- Responsible for evaluating complex transactions and safeguarding the institution's credit portfolio.
- Assess and decide on new credit applications for structured financing transactions, ensuring robust risk mitigation and appropriate deal structures.
- Oversee and monitor assigned corporate credit portfolios, actively tracking obligor performance and concentration risks.
- Collaborate closely with front-office business units to provide guidance on transaction terms, credit risk assessment, and potential restructuring strategies.
- Conduct detailed reviews of financial statements, projection models, and underlying credit assumptions.
- Verify the precision of data entries within digital credit management platforms and interface with internal risk control functions.
skills and experience required.
- Bachelor’s Degree in Accounting, Finance, Business Management, Economics or equivalent
- 5+ years of experience in credit risk assessment or portfolio management experience
- Working knowledge in leveraged buyout financing or non-recourse fund NAV financing.
- Strong capability to analyze financial statements and critically evaluate financial forecasting assumptions.
Please click on the 'apply' button to apply online. For more information, please reach out to Adeline Lim via https://www.linkedin.com/in/adelinecorporatebankingrecruiter/ to arrange a confidential chat together.
EA: 94C3609/R1105572
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