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Portfolio Analyst, Corporate Debt

Finance Network
London, United Kingdom
Up to £60,000 basic plus bonus and benefits
Closing date
Feb 16, 2023

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Job Function
Industry Sector
Finance - General
Employment Type
Full Time
  • Continuously monitor the development of individual portfolio transactions.
  • Regular analysis of key transaction risks.
  • Preparation of internal credit papers (credit review, waivers/amendments).
  • Review/update of financial models to assess future performance and risks.
  • Provide robust collateral valuations, (where applicable and depending on collateral type with input from external advisers), including the respective documentation.
  • Analyse, evaluate and comment on drawdown requests and transaction related financial, technical and legal reporting provided by borrowers and/or advisors as applicable.
  • Attend site visits and borrower meetings.

  • Experience with a proven track record in a related credit environment, ideally involving corporate debt.
  • Background in and knowledge of credit risk drivers and risks inherent in the respective borrower industry sectors.
  • Solid analytical and technical skills and ability to understand complex loan documentation, financing structures and models.
  • Comfortable in a client facing role and ability to confidently present recommendations up to credit committee level.

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