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Senior Portfolio Management Professional Madrid
- Ref: 2558156
- MICHAEL PAGE
- Hace 19 horas (Actualizada)
Jornada sin especificar - Contrato Indefinido - Retribución sin especificar - Al menos 5 años de experiencia
European bank with an international reach. Worldwide, the Group has key positions in its three main activities: Domestic Markets and International Financial Services (whose retail-banking networks and financial services are covered by Retail Banking & Services) and CIB, which serves two client franchises: corporate clients and institutional investors. The Group helps all its clients (individuals, community associations, entrepreneurs, SMEs, corporate and institutional clients) to realise their projects through solutions spanning financing, investment, savings and protection insurance.
Duración de la oferta: hasta el 15/11/2019
The Senior Portfolio Managers play an important and accountable role working closely with the Head of Credit & Portfolio Management, managing exposure to companies in the Leveraged Finance Portfolio. Description * The person will focus on managing exposure to companies of the Leveraged Finance Portfolio [Belgian, German, Austrian, Swiss, French & UK] under the supervision of the Head of Portfolio and Credit Management. * This includes establishing and maintaining regular contact and relationship with portfolio companies' management teams, close credit risk follow-up of portfolio companies and responsibility for regular internal reporting on risk evolution. It also includes making proposals to sell or buy exposure in the secondary market and to build or release provisions. * Furthermore, it requires close follow-up of portfolio companies with a view to managing interventions at different stages of the portfolio company's further development and identifying new business opportunities. Regular interventions include a wide range of situations varying from small waiver requests to add-on financings to fund buy and build strategies, recapitalizations or refinancings (including high-yield bonds), post IPO financings, amend-and-extend requests and further buyouts of the company. Such interventions will often be pro-active and will involve the portfolio manager working in close relationship with the Leveraged Finance Origination team as well as the Coverage, Corporate Finance, Syndication and Rating Advisory teams. In the context of refinancing or exit situations of his/her portfolio companies he/she will be involved in providing input for answering Requests for Proposals and preparing pitches to the companies and the Private Equity funds and play an active role in writing the credit paper and negotiating credit documentation. * Last important component of the job is to actively manage complex restructuring files, working closely together with legal and other advisors, accountants, the company and private equity sponsor to develop workable restructuring solutions, including inter alia court sanctioned processes and possibly debt/equity swaps, and defend these internally. It will involve managing difficult situations within (large) lender syndicates comprising bank lenders, funds and loan to own players. * Throughout the role there is regular engagement and interaction with the Risk Department.
* At least 5 years of working experience in Leveraged Finance * Excellent command of English is compulsory, German, French &/or other European languages would be a bonus * Strong analytical and risk assessment skills with an ability to maintain a balance of appropriate risk and reward * Strong communication skills, both verbal and in writing * Ability to work under pressure with short deadlines * Team player with flexible attitude and good communication skills * Willingness to learn, share knowledge and broaden scope * Proficiency with PC applications (Word, Excel, Powerpoint)
- International Projects - Competitive Salary
Banca y seguros
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