Corporate Banking Portfolio Manager I
United States
Workplace: OnsiteFull timeFunction: Capital Markets, Trading & QuantExperience: 3-7 yearsEducation: bachelorsSkills: ["Communication","Influencing others","Analytical skills","Risk awareness","Continuous improvement mindset"]Manage a corporate banking portfolio by partnering with Relationship Managers to oversee credit quality, financial performance, and ongoing risk management. Conduct independent financial statement, covenant, and collateral analysis; monitor covenant compliance, delinquencies, and early warning signals; and manage annual/interim review and renewal/modification pipelines. Present loan modification requests and required credit reports while ensuring portfolio adherence to internal policy and regulatory expectations and recommending risk ratings to the Credit Department.
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