Analyst, Portfolio Manager

at  European Bank for Reconstruction and Development

London, England, United Kingdom -

Start DateExpiry DateSalaryPosted OnExperienceSkillsTelecommuteSponsor Visa
Immediate21 Sep, 2024Not Specified22 Jun, 2024N/AEnglish,Equities,Analytical Skills,FinanceNoNo
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Description:

Requisition ID

34780
Office Country

United Kingdom
Office City

London
Division

Operations & Service Management
Contract Type

Fixed Term
Contract Length

2 years
Posting End Date

02/07/2024

KNOWLEDGE, SKILLS, EXPERIENCE AND QUALIFICATIONS

  • Good bachelor’s degree preferably in business, finance or law.
  • Advanced banking, legal and credit skills are preferable.
  • Comprehensive knowledge and extended experience in working with banking products including term loans, revolving loans, trade facilities, syndicated loans, equities, funds, bonds, grants, parallel loans, guarantees.
  • Experience with leading the waiver, amendment and covenant monitoring processes across Corporate and Banking related products as well as proven skills in drafting, reviewing and interpreting both bilateral and co-financed Banking legal documentation.
  • Excellent problem solving, communication and presentations skills.
  • Excellent command of written and spoken English.
  • Commercial orientation and awareness.
  • Attention to detail, strong analytical skills, and efficient multi-tasking and prioritisation skills.
  • The ability to operate in an environment with continuously changing priorities and to resolve conflicts between various parties.

Responsibilities:

PURPOSE OF JOB

The Analyst, Portfolio Manager position is central to the Bank’s structure of operations. In close cooperation with colleagues from other departments (Banking, Finance, Risk, OGC, Nuclear Safety, OCE, etc.), the Analyst, Portfolio Manager oversees the process and approves all disbursements (including loans, equities, grants, etc.) and post-signing, leads the process of any required changes to legal documentation between the EBRD and its counterparties to ensure that all operational, legal and credit risks are minimised.

ACCOUNTABILITIES AND RESPONSIBILITIES

  • Review new and existing loan, equity, grant, bond and hybrid project documentation to ensure the accuracy of all financial details and compliance with the Bank’s policies and procedures within their portfolio.
  • Approve disbursements and mitigate risks and losses by ensuring all client obligations as set as covenants and conditions precedent to disbursement are met or waived.
  • Lead the internal approval process for waivers, consents, amendments and notices, drafting relevant legal documentation in order to protect the interests of the Bank and eliminate potential events of default.
  • Facilitate the process of dealing with events of default with all necessary counterparties, to ensure all relevant procedures are implemented.
  • Motivate and train Banking staff and external clients within agreed policies and procedures to maintain a high standard of work practices and ensure that objectives are met.
  • Supported by senior managers be the main point of contact for the B-lenders and parallel lenders after signing and manage all loans with an A/B or parallel loan structure to protect co-financiers’ interests and nurture opportunities for additional investments in the Bank’s operations.
  • Advise relevant departments about specific waivers that may have significant implications for particular projects to ensure that the decision-makers are aware of the risks involved.
  • Develop specialist expertise in products, processes and procedures to become a centre of excellence for the benefit of the Bank.
  • Recommend changes to existing policies and procedures to ensure relevance to current work and market practices.


REQUIREMENT SUMMARY

Min:N/AMax:5.0 year(s)

Banking/Mortgage

Banking / Insurance

Other

Graduate

Business finance or law

Proficient

1

London, United Kingdom