drjobs Capital Market Portfolio Management Officer

Capital Market Portfolio Management Officer

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1 Vacancy
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Job Location drjobs

Miami, FL - USA

Monthly Salary drjobs

Not Disclosed

drjobs

Salary Not Disclosed

Vacancy

1 Vacancy

Job Description

Overview

The Capital Markets Portfolio Management Officer will be an integral member of the Capital Markets Risk Management team responsible for overseeing and managing the ongoing performance of assigned portfolios within the institutional financial sponsor segment. This position will focus on portfolio management of balance sheet debt capital strategies and work closely with internal teams to ensure the effective management of risk compliance and performance tracking across credit facilities and investment activities. The Capital Markets Portfolio Management Officer will be responsible for conducting posttransaction portfolio management including monitoring portfolio performance assessing potential risks and ensuring alignment with CNBs credit and risk management strategies. This role will involve the continuous evaluation of credit quality performance trends and compliance with loan covenants while collaborating with senior risk officers and portfolio managers to drive risk mitigation efforts and support the successful of credit facilities and trades.

Principal Duties & Responsibilities

  • Oversee and track the performance of assigned Institutional Financial Sponsor portfolios contributing as an active member of the Banks Capital Markets Risk Management team.
  • Apply indepth market knowledge to evaluate structured credit risks against current market parameters.
  • Develop and implement risk management strategies to ensure portfolio stability focusing on credit quality risk mitigation and compliance with CNBs standards.
  • Track and evaluate the of credit facilities and investment trade activities ensuring that each transaction aligns with approved risk parameters and business objectives.
  • Perform ongoing evaluations of the financial health of portfolio companies including tracking performance metrics identifying potential risks and recommending adjustments as needed.
  • Generate detailed reports and presentations on portfolio performance risk exposure and key metrics for senior management and stakeholders in the Capital Markets Risk organization.
  • Collaborate closely with frontend teams such as Portfolio Risk Officers and Investment Bankers to ensure seamless coordination between credit underwriting and ongoing portfolio management activities.
  • Focus on coverage for Institutional Financial Sponsors credit and investment transactions (e.g. term loans revolvers credit facilities fund finance facilities portfolio facilities secondary market private placements assetbacked credit facilities etc..
  • Recommend and improve existing risk measurement methodologies to provide greater visibility into market risk drivers within the Capital Markets Risk Management team.
  • Advise and support Capital Markets business lines product groups legal and risk management functions on credit and riskrelated issues.
  • Identify capital market opportunities to responsibly grow the loan portfolio during sponsor(s) review.
  • Attend leading industry events on occasion (e.g. capital markets structured finance assetbacked securities etc..
  • Stay current on industry trends market conditions and emerging opportunities within the Private Equity Private Credit and Hedge Fund segments.
  • Travel at least 20 to 30 of the time for meetings and industry events.
  • Serve as a subject matter expert in all aspects of specialty credits (e.g. ABS Fund Finance capital market transactions).

Qualifications

24 years proven experience in structuring and underwriting capital markets investment banking private equity private transactions.
Focus on Financial Sponsors Private Equity Private Credit Hedge Funds Asset Managers etc.
Structuring fund finance and assetbacked credit solutions.
Strong understanding of financial markets and investment.
Ability to travel at least 20 to 30 of time as required.
Highly organized and detail oriented.
Excellent analytical and financial modeling skills.
Exceptional communication and interpersonal skills.
Demonstrated ability to build and maintain relationships with investors and financial partners.
Proficient in Microsoft Excel including advanced functions such as VLOOKUP and Pivot Tables.

Education

Required Bachelors Degree Finance Real Estate economics or a related field.
Preferred Masters Degree Finance Real Estate economics or a related field

Special Instructions to Candidates


Required Experience:

Unclear Seniority

Employment Type

Unclear

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