DescriptionAre you ready to make an impact in a dynamic global environment Join our Global Securitized Lending team and help shape the future of asset-backed finance across APAC. As a Portfolio Manager youll develop expertise in portfolio analytics collaborate with high-performing teams and drive process improvements. This is your opportunity to grow your career contribute to strategic decision-making and deliver high-quality service to our clients.
As a Portfolio Manager Analyst/Associate within the Global Securitized Lending team you will play a pivotal role in supporting the APAC ABS deal teams with a primary focus on asset-backed finance transactions across the region. You will be responsible for the comprehensive post-closing management of a diverse portfolio of asset-backed finance facilities ensuring robust collateral monitoring proactive risk management regulatory and audit compliance and high-quality client engagement. You will have the opportunity to develop expertise in portfolio analytics contribute to strategic decision-making and drive process improvements in a dynamic global environment.
Job Responsibilities:
- Lead post-closing activities including assistance with surveillance file creation compliance tracking and performance monitoring of asset-backed finance transactions.
- Conduct detailed analysis of collateral performance identify trends and potential risks and escalate issues to senior Portfolio Manager and deal teams.
- Prepare and present regular portfolio reviews highlighting key performance metrics risk exposures and recommendations for optimization.
- Support quarterly risk weight analysis (RWA) submissions and ensure accurate reporting of portfolio risk metrics.
- Coordinate with the ABS Audit Manager and deal teams to facilitate ongoing audits and meet internal audit requirements.
- Ensure strict adherence to regulatory requirements including FinCEN recertification ongoing due diligence and evolving compliance standards.
- Drive process improvement initiatives to enhance portfolio management efficiency data integrity and reporting accuracy.
- Collaborate with Portfolio Managers in the US and EMEA to ensure global consistency and share best practices.
- Work closely with Front Office Middle Office Credit and Legal teams for seamless deal execution and ongoing portfolio management.
- Support client relationship management activities including renewal planning portfolio reviews and execution of client requests.
- Deliver high-quality service and insights to clients contributing to the growth and success of the asset-backed finance business.
Required Qualifications Capabilities and Skills:
- Fluency in read/write Chinese.
- Bachelors degree in Finance Business Economics or a related field.
- 1-4 years of experience in structured finance portfolio management collateral diligence or risk management within asset-backed finance.
- Advanced analytical skills with the ability to interpret complex data sets and generate actionable insights.
- Strong organizational and communication skills with experience presenting portfolio analysis to senior stakeholders.
- Proficiency in Excel and Tableau.
- Demonstrated ability to collaborate effectively in a global cross-functional high-performing team environment.
- Proactive approach to problem-solving process improvement and driving results in a fast-paced environment.
Preferred Qualifications Capabilities and Skills:
- Fluency in spoken Mandarin.
- Experience with portfolio management systems such as ABSolute.
- Prior exposure to APAC asset-backed finance markets.
- Experience working in a global financial institution.
- Knowledge of regulatory requirements relevant to asset-backed finance in APAC.
- Ability to work independently and manage multiple priorities.
- Experience supporting audit and compliance processes.
Required Experience:
Manager
DescriptionAre you ready to make an impact in a dynamic global environment Join our Global Securitized Lending team and help shape the future of asset-backed finance across APAC. As a Portfolio Manager youll develop expertise in portfolio analytics collaborate with high-performing teams and drive pr...
DescriptionAre you ready to make an impact in a dynamic global environment Join our Global Securitized Lending team and help shape the future of asset-backed finance across APAC. As a Portfolio Manager youll develop expertise in portfolio analytics collaborate with high-performing teams and drive process improvements. This is your opportunity to grow your career contribute to strategic decision-making and deliver high-quality service to our clients.
As a Portfolio Manager Analyst/Associate within the Global Securitized Lending team you will play a pivotal role in supporting the APAC ABS deal teams with a primary focus on asset-backed finance transactions across the region. You will be responsible for the comprehensive post-closing management of a diverse portfolio of asset-backed finance facilities ensuring robust collateral monitoring proactive risk management regulatory and audit compliance and high-quality client engagement. You will have the opportunity to develop expertise in portfolio analytics contribute to strategic decision-making and drive process improvements in a dynamic global environment.
Job Responsibilities:
- Lead post-closing activities including assistance with surveillance file creation compliance tracking and performance monitoring of asset-backed finance transactions.
- Conduct detailed analysis of collateral performance identify trends and potential risks and escalate issues to senior Portfolio Manager and deal teams.
- Prepare and present regular portfolio reviews highlighting key performance metrics risk exposures and recommendations for optimization.
- Support quarterly risk weight analysis (RWA) submissions and ensure accurate reporting of portfolio risk metrics.
- Coordinate with the ABS Audit Manager and deal teams to facilitate ongoing audits and meet internal audit requirements.
- Ensure strict adherence to regulatory requirements including FinCEN recertification ongoing due diligence and evolving compliance standards.
- Drive process improvement initiatives to enhance portfolio management efficiency data integrity and reporting accuracy.
- Collaborate with Portfolio Managers in the US and EMEA to ensure global consistency and share best practices.
- Work closely with Front Office Middle Office Credit and Legal teams for seamless deal execution and ongoing portfolio management.
- Support client relationship management activities including renewal planning portfolio reviews and execution of client requests.
- Deliver high-quality service and insights to clients contributing to the growth and success of the asset-backed finance business.
Required Qualifications Capabilities and Skills:
- Fluency in read/write Chinese.
- Bachelors degree in Finance Business Economics or a related field.
- 1-4 years of experience in structured finance portfolio management collateral diligence or risk management within asset-backed finance.
- Advanced analytical skills with the ability to interpret complex data sets and generate actionable insights.
- Strong organizational and communication skills with experience presenting portfolio analysis to senior stakeholders.
- Proficiency in Excel and Tableau.
- Demonstrated ability to collaborate effectively in a global cross-functional high-performing team environment.
- Proactive approach to problem-solving process improvement and driving results in a fast-paced environment.
Preferred Qualifications Capabilities and Skills:
- Fluency in spoken Mandarin.
- Experience with portfolio management systems such as ABSolute.
- Prior exposure to APAC asset-backed finance markets.
- Experience working in a global financial institution.
- Knowledge of regulatory requirements relevant to asset-backed finance in APAC.
- Ability to work independently and manage multiple priorities.
- Experience supporting audit and compliance processes.
Required Experience:
Manager
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