Overview
Head of Portfolio Management – Real Estate Finance
Location – London (hybrid)
The Bank
An established, stable, growing and successful specialist bank, which offers a wide range of lending and deposits products to businesses and individuals throughout the UK.
The role
The role – Managing a team of portfolio managers who are responsible for the bank’s UK real estate finance loan book.
Responsibilities
- Overall responsibility for on-going relationship and risk management within the portfolio, including effective management of extensions/renewals/maturities/covenants/conditions
- Thorough oversight of the portfolio to ensure loan performance meets requirements, with effective and timely reporting of facilities that do not
- Identification of risk situations and control of overdue loans ensuring the portfolio is adequately monitored
- Personally managing a handful of the bank’s largest client exposures
- Site visits and client meetings as required
- Assist with the management of the recovery of any impaired assets alongside operations team and credit risk management team
- Develop the Portfolio Management team to build capabilities and achieve high levels of employee satisfaction in line with a high-performance culture
Experience and skills required
- Very strong credit risk skills and experience
- Leadership experience in credit or loan portfolio management in UK property finance
- Experience in managing complex loans across these sectors
Qualifications
What’s in it for you
- The chance to join an extremely successful fast growth division of an established, stable and growing bank
- Excellent personal and career development opportunities
- The opportunity to be a part of a business whose purpose, vision and values are at the heart of everything they do.
- Very competitive salary, bonus and benefits package including pension, healthcare and more
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