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Credit Portfolio Manager

2 months ago


Montreal, Quebec, Canada SGS Société Générale de Surveillance SA Full time
About the Role

We are seeking a highly skilled Credit Portfolio Manager to join our team at SGS Société Générale de Surveillance SA. As a key member of our Credit Portfolio Management Group, you will be responsible for managing a portfolio of large US corporates and subsidiaries of non-US groups in diverse industries.

Key Responsibilities
  • Prepare Comprehensive Credit Analyses: Conduct thorough financial statement analysis, review legal documentation, and ongoing portfolio monitoring to assess credit quality and recommend credit limits, terms, and conditions.
  • Financial Projections and Debt Repayment Capability: Prepare financial projections and determine debt repayment capability to ensure compliance with SGUS Credit Policies.
  • Obligor Risk Ratings: Propose and update Obligor Risk Ratings to ensure accurate risk assessment.
  • Compliance with Covenants: Monitor compliance with covenants and propose changes as necessary to comply with SGUS policies.
  • Legal Documentation Review: Review all relevant legal documentation and propose changes as necessary to comply with SGUS policies.
  • Collaboration and Communication: Liaise with other CPM teams, business lines, Bankers, legal & compliance, operations, and Risk department to ensure seamless communication and collaboration.
Requirements
  • Strong Financial Analytical Skills: Possess strong financial analytical skills to assess credit terms and conditions, including financial covenants, security, and collateral.
  • Commercial and Investment Banking Products: Have a strong understanding of commercial and investment banking products to provide expert advice.
  • Writing and Communication Skills: Possess strong writing skills to assess and summarize financial transactions, as well as communicate effectively with stakeholders.
  • Accounting, Legal, and Regulatory Issues: Have a strong understanding of accounting, legal, and regulatory issues governing relevant sectors.
  • Research and Analysis: Be able to investigate, research, and synthesize data to make informed conclusions.
  • Counterparty Risk and Financial Condition: Analyze and evaluate counterparty risk and financial condition using quantitative and qualitative data.
Preferred Qualifications
  • 8-10 Years of Experience: Have 8-10 years of experience as a credit analyst in a corporate and investment banking entity or related field.
  • Bachelor's Degree: Possess a Bachelor's degree from an accredited university.
Language

Ability to communicate in English, both orally and in writing, is a requirement as the person in this position will need to collaborate regularly with colleagues and partners in the United States.