Asset Manager�� ��� �London�� ��� �Permanent�� ��65,000 per annum plus excellent benefits and bonus
Are you ready to take your career to new heights?�
Join our client's dynamic Surveillance Department in the heart of London as an Asset Manager and become a key player in shaping the future of credit risk management!
Why Join Us?
Dynamic Environment: Work in a fast-paced, collaborative environment where your expertise will make a real impact.
Career Growth: Take advantage of opportunities for career advancement and professional development.
Cutting-Edge Work: Be at the forefront of credit risk management, working on high-profile projects in infrastructure and energy finance.
Competitive Benefits: Enjoy a competitive salary, bonus potential, and a range of benefits designed to support your well-being and success.
Main Purpose of Role:
As an Asset Manager, you'll play a vital role in providing credit risk-related services, offering timely insights and recommendations to ensure informed decision-making. Collaborate closely with cross-functional teams and clients to deliver exceptional results.
What You'll Do:
Monitor and Analyze: Continuously monitor portfolio transactions, conduct in-depth market research, and provide insightful analysis to drive strategic decision-making.
Prepare and Present: Craft comprehensive internal credit papers and ratings, presenting recommendations with confidence to key stakeholders.
Drive Excellence: Set high standards for quality and accuracy, ensuring compliance with guidelines and delivering exceptional outcomes.
Collaborate: Work closely with colleagues and clients to streamline processes, foster innovation, and achieve shared goals.
Skills and Experience:
Proven Track Record: Demonstrated success in credit/risk/asset management, with a focus on infrastructure and energy project finance.
Analytical Expertise: Strong analytical skills and the ability to distill complex information into actionable insights.
Client-Facing Confidence: Comfortable presenting recommendations to clients and stakeholders, driving consensus and alignment.
Communication Skills: Excellent written and verbal communication skills, with the ability to convey complex concepts clearly and effectively.
Technical Proficiency: Proficient in MS Excel, Word, PowerPoint, and data analysis tools, with a keen eye for detail.
Qualifications:
Education: Banking or university degree (honors), with postgraduate qualifications preferred.
Language Skills: Fluency in English required; additional European languages (e.g., German, Spanish, Italian, French) advantageous.
Ready to Make Your Mark?
If you're passionate about credit risk management and eager to make a difference, we want to hear from you! Don't miss this opportunity to join our dynamic team and drive success in one of the most exciting sectors in finance.�
Apply today and take the next step in your career journey!