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VP Leveraged Finance Credit Risk

  • Location: London
  • Salary: £Excellent Base + Cash Benefits + Bonus
  • Job type: Permanent
  • Job reference: AB/167376
  • Sector: Banking
Job Description

My client is a major, global banking group in the top 20 global MLA league table. They are expanding their business in the UK and are looking to hire a VP level credit risk analyst with experience of leveraged finance.

Key responsibilities:

Portfolio of LBO / Corporate client credit connections, including Problem asset credits.

Maintaining active focus on working with front office deal teams to ensure promise-keeping delivery to clients.

Proactively managing the interaction and communication with marketing officers, obtaining requisite information in order to complete the analysis, discuss and agree applicable conditions and instructions.

Attend meetings with marketing officers, articulate CD risk perception and appetite for a transaction / counterparty in line with the bank’s policies and procedures.

Assist other team members when less busy by taking work, particularly in times of strong work flow and absences, to ensure that the work is fairly distributed.

Work collaboratively with other risk disciplines (market risk, operational risk, reputation risk) where appropriate to ensure enterprise wide view of risk is considered for a counterparty, portfolio, asset class etc.

Experience Required:

Extensive experience in a credit management role within major international bank.

LBO experience strongly desirable.

In depth experience of undertaking corporate credit analysis in a structured manner enabling clear identification and articulation of risk issues, and how these are mitigated.

In depth experience of engaging with front office professionals to manage credit transactions from inception to close.

Providing appropriate challenge to front office on risk issues of a client / transaction, and developing suitable workable solutions.

Strong evidence of the ability to work independently in order to manage actively transactions deadlines, with early escalation to senior management of material issues.

Partnering with key stakeholders, and influencing senior management both within the

Credit Department and front office units.

Preparation and / or analysis of appropriate forward looking projections to generate clear articulation of risk appetite.

Experience of problem asset management or work outs would also be an advantage.

Strong working knowledge of corporate loan products, trade finance products, and

derivative products including appropriate documentation and current market trends.

Experience of a front office / marketing role is also an advantage.

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