Loan Portfolio Manager – Risk Manager (m/f)

  • Company

    Société Générale (Frankfurt)
  • Location

    Germany-Hessen
  • Compensation

    competitive
  • Position Type

    Employee
  • Employment type

    Full time
  • Updated

    06 Oct 2008
  • eFC Ref no

    438330
We are looking for a Risk Manager to join our local risk management team in our Frankfurt office.

Loan Portfolio Manager – Risk Manager (m/f)
Leveraged Finance (LBO) and Structured Real Estate Finance
Société Générale
Frankfurt am Main


We are looking for a Risk Manager to join our local risk management team in our Frankfurt office. As a Risk Manager, you will be responsible for the operational and risk follow-up tools of a portfolio of structured deals originated by Leveraged Finance and Real Estate Finance. You will work in close collaboration with the risk departments in Paris and the business lines to monitor any incident that may affect the risk profile of a transaction.

Main tasks include

 

  • To determine with the help of internal tools and your risk follow-up tools the internal rating of the deals in your portfolio
  • Monthly or quarterly financial and cash flow analysis of the financial statements of our borrowers
  • Analysis and presentation of waivers and amendments to our risk department
  • To monitor the closing and the operational follow-up of news transactions
  • To manage all agency-related activities for any agency functions in syndicated loans


You will furthermore carry out dedicated reporting for the respective business lines as well as for the risk department and assist to further implement the Basle II requirements (ratings, collaterals, guarantees, LGD, etc).

Your Profile

 

  • A graduate with a business administration degree (or an equivalent degree) and a minimum of 5 years experience in risk management in an investment bank, preferably in the field of Leveraged Finance, Structured Finance or Real Estate Finance
  • We are looking for a fully operational risk manager with good interpersonal skills and a strong sense of drive and initiative
  • Fluency in both English and German is essential. French would be a plus
  • In addition to a strong interest in structured finance, you should be able to offer excellent analytical skills and a rapid comprehension of complex structures


Are you interested?

Then we look forward to receiving your application (cover letter, resume, salary expectation, availability and reference code displayed beside) online via the button below.

We warrant complete discretion. For initial information we are available at the phone number displayed beside.
 

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