Portfolio Manager VP (Corporate Banking)

Social Capital Resources

New York (NY)

On-site

USD 180,000 - 240,000

Full time

43 hours ago
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Job summary

Social Capital Resources seeks a Portfolio Manager VP (Corporate Banking) for a top-tier bank in Midtown Manhattan. You will monitor asset quality across diverse industries, analyze portfolios and prepare periodical overviews for senior leadership.

You will conduct portfolio analytics on credit performance across sectors, flag early warning signs, ensure compliance with credit policies, and collaborate with Relationship Managers on risk mitigation and market updates.

Qualifications

  • Bachelor’s degree in business, economics, finance, accounting, or related fields.
  • 5+ years of experience in corporate credit analysis or portfolio management.
  • Excel modeling, PowerPoint, and data mining/financial modeling skills.

Responsibilities

  • Monitoring, analyzing and reporting the asset quality across a wide range of industries within the Corporate Banking portfolio.
  • Produce periodic portfolio overview and analysis.
  • Conduct account portfolio monitoring, identify emerging risks, and provide risk analysis with Relationship Manager.
  • Conduct and monitor portfolio analytics to assess credit performance and trends across various credit risk dimensions (credit rating, industries/sectors, structures, geographies, credit policy exceptions, and covenant exceptions, etc.).
  • Identify early warning signs of risk and escalating as needed.
  • Monitor and maintain portfolio to adhere to applicable credit policies and compliance requirements.
  • Discuss and propose risk mitigation/reduction strategies with Team Leaders and Relationship Managers.
  • Keep senior management and Relationship Manager abreast with the latest economic and market updates.

Education

Bachelor’s degree in business, economics, finance, accounting, or related fields

Tools

Excel
PowerPoint

Job description

Top-Tier Bank in Midtown, Manhattan is seeking a Portfolio Manager VP (Corporate Banking)

Responsibilities:
  • Monitoring, analyzing and reporting the asset quality across a wide range of industries within the Corporate Banking portfolio
  • Produce periodic portfolio overview and analysis
  • Conduct account portfolio monitoring, identify emerging risks, and provide risk analysis with Relationship Manager
  • Conduct and monitor portfolio analytics to assess credit performance and trends across various credit risk dimensions (credit rating, industries/sectors, structures, geographies, credit policy exceptions, and covenant exceptions, etc.)
  • Identify early warning signs of risk and escalating as needed
  • Monitor and maintain portfolio to adhere to applicable credit policies and compliance requirements
  • Discuss and propose risk mitigation/reduction strategies with Team Leaders and Relationship Managers
  • Keep senior management and Relationship Manager abreast with the latest economic and market updates
Qualifications:
  • Bachelor’s degree in business, economics, finance, accounting, or related fields
  • 5+ years of experience in corporate credit analysis or portfolio management
  • Excel modeling, PowerPoint, and other data mining financial modeling skills
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