About Our Client
Large bank located in Midtown.
Job Description
- Senior ownership of private market credit portfolios
- High exposure to private credit, BDCs and fund structures
Credit Risk Assessment & Underwriting
- Conduct in‑depth credit analysis of private equity and private credit platforms, including fund‑level and manager‑level risk.
- Evaluate investment strategies, leverage, liquidity, capital structures and governance frameworks.
- Review and approve credit limits, financing terms and risk ratings in line with internal risk appetite.
- Prepare detailed credit memoranda and recommendations for senior risk committees.
Portfolio Monitoring & Risk Management
- Perform ongoing surveillance of approved counterparties, including NAV trends, portfolio performance and concentration risk.
- Monitor covenant compliance, reporting obligations and key risk indicators.
- Identify emerging risks and recommend mitigation actions, including exposure adjustments or enhanced monitoring.
- Assess market and idiosyncratic risks impacting private credit portfolios and fund vehicles.
Fund Structures & Products
- Assess credit risk across a range of structures, including private credit funds, BDCs, managed accounts and registered fund vehicles.
- Review legal structures, investor bases, liquidity terms and structural protections.
- Partner with internal stakeholders on new product approvals, fund financing and strategic initiatives.
Governance & Stakeholder Engagement
- Act as a trusted risk partner to investment, financing, legal and portfolio management teams.
- Provide clear, balanced risk guidance while supporting business growth objectives.
- Contribute to policy development, process enhancements and risk framework improvements.
The Successful Applicant
- Bachelor's degree in Finance, Economics, Accounting or a related discipline.
- Typically 8-12+ years of experience in credit risk, private equity, private credit or fund finance.
- Strong knowledge of private market investment strategies, fund structures and leverage.
- Experience with BDCs, asset managers and registered fund vehicles preferred.
- Excellent analytical, judgement and problem‑solving skills.
- Strong written and verbal communication skills with the ability to influence senior stakeholders.
- Comfortable operating in fast‑paced, judgement‑driven environments.
What's on Offer
- $150,000 - $200,000 base salary.
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