UK Portfolio Manager - Leveraged Finance

Michael Page International Rec Ltd
65000.00 - 85000.00 GBP Annual
04 Sep 2017
19 Sep 2017
Contract Type
Working for a Global Corporate Bank, actively managing a portfolio of UK Mid Market Leveraged Loans in London

Client Details

A Global Corporate Bank, who's European Leveraged Finance business is headquartered here in London


As a UK Portfolio Manager - Leveraged Finance, you will have responsibility for:

* ongoing analysis of a Borrowers financial performance;
* the preparation of required Monitoring Reports,
* regular reporting to both the Group Head and Credit Department on Borrowers performance;
* assigning / reviewing Borrower internal ratings at least annually; and
* analysis / interpretation of Bank's Cash Flow Model

Primary responsibility for Developing / Maintaining Relationships with Company Management??

Ongoing liaison with Origination & Sponsor Coverage team on Portfolio Mining opportunities

The preparation of Credit submissions for:
1. new transactions
2. amendments / waivers on existing allocated portfolio accounts and
3. add-on / re-financing opportunities on existing allocated portfolio accounts.?? Liaison with all Back and Middle Office teams (Limit Control, Loans Admin, Static Data, KYC etc) to ensure satisfaction of all internal booking and operational requirements necessary to book existing and new loan transactions


As a UK Portfolio Manager - Leveraged Finance, you will have be expected to have:

* Knowledge and understanding of UK Leveraged Finance market
* Strong credit / risk analysis skills gained through exposure to leveraged finance transactions
* Cash Flow Modelling skills with sound knowledge of Excel.
* General banking experience and knowledge
* Good communication skills - both internal and external.
* Ability to write clear and concise credit applications and reviews.

Job Offer

Competitive Package