- Co-ordinate and supervise the team monitoring the financial conditions and covenants of the lending transactions of some of the most sophisticated wealth management clients;
- Identify and escalate lending risks to Structurers, Client Advisors and Senior Management;
- Determine risk mitigation and remediation strategies for the loan portfolio;
- Assist in the management of the distressed loan portfolio;
- Run ad hoc projects as required.
- Experienced in Banking (at least 10 years). Experience within a Risk Management or Risk Control function preferred;
- A University graduate, preferably with Business/ Accounting / Economics/ Finance background;
- Technical experience working with data bases and data analysis. Proficient in Microsoft excel essential/ Tableau preferred. Good working knowledge of Python or QSL preferable;
- Diligent, concise and accurate work style, with a strong attention to detail and the ability to analyze market and credit risk;
- Managerial experience, collaborative team approach with strong analytical, problem-solving, communication and interpersonal skills;