Specialty Finance Portfolio Manager

City National Bank of FloridaCoral Gables, FL
8d

About The Position

The Specialty Finance Portfolio Manager safeguards credit quality and data integrity across a portfolio of Specialty Finance relationships; ensures timely risk grading; executes covenant testing and Annual Loan Reviews; delivers analysis that supports risk ratings; partners with RMs/Risk/Support; and maintains full regulatory and policy adherence.

Requirements

  • 5–10 years in credit/portfolio management within Specialty Finance or commercial lending.
  • Working knowledge of rating agency criteria and bureaus.
  • Strong analysis/writing/presentation.
  • Proficiency in nCino, Salesforce/Elevate, and MS Office.
  • Bachelor’s degree in business, Finance, or Accounting, or equivalent related experience.

Responsibilities

  • Responsible for the on-going monitoring of the Specialty Finance portfolio of relationships, including credit quality and data integrity.
  • Responsible for ensuring that loans in the Specialty Finance portfolio are appropriately risk graded and that risk grading changes are made in a timely manner.
  • Monitors client operating performance and financial condition and proactively identifies issues through covenant testing and Annual Loan Reviews.
  • Utilizes Moody’s, Standard & Poor’s, and other financial websites.
  • Sources reports from credit bureaus, rating agencies, and other financial websites.
  • Delivers financial, industry and economic analyses and other activities to support current risk rating.
  • Interfaces relationship managers, risk officers, and support staff to ensure the ongoing quality of credit files.
  • Regular interaction with clients to obtain financial information and discuss financial performance.
  • Responsible for adherence to credit policies, guidelines and applicable regulatory requirements.
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