Managing a portfolio of commercial real estate loans
Supporting efforts regarding continued development and evolution of asset management based on market conditions
Collaborating with assigned Client Managers, Market Leads and Group Heads
Performing ongoing due diligence and financial and risk analysis of the portfolio’s underlying assets
Ensuring objectives related to asset management and portfolio maintenance are met
Direct engagement with Syndications and Capital Markets
Conducting site visits to gain market expertise in locations with large exposure or growing exposure
Escalating potential asset quality outside of risk appetite or noteworthy risk profile trends
Requirements
Minimum of 8 years of applicable experience in underwriting, structuring, loan closing, documentation, and/or asset/portfolio management
Understanding of financial risks (e.g., credit, market and/or liquidity) and/or non-financial risks (e.g., operational, compliance, reputation, strategic), and of financial services businesses and products
Excellent written and verbal communication skills
Strong analytical and problem-solving skills
Results oriented with a high degree of attention to detail
Exceptional interpersonal and relationship building skills
Ability to develop credit expertise within Commercial Real Estate
Expected to be well versed in all key systems, applications, and models used including proficiency in Microsoft Office products with advanced knowledge of financial analysis and modeling.
Benefits
Medical
Dental
Vision
Health Savings Account
Life Insurance
Disability
Other Insurance Plans
Paid Time Off (including Sick Leave, Parental Leave and Vacation)
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