3 дня назад
USA SCIB Portfolio Management Analyst - CIB Lending
67 500 - 110 000$
Мэтч & Сопровод
Для мэтча с этой вакансией нужен Plus
Описание вакансии
Текст:
TL;DR
USA SCIB Portfolio Management Analyst - CIB Lending (Credit Analysis/Portfolio Monitoring): Supporting credit spreading, covenant tracking, collateral monitoring, review preparation, and reporting across CIB lending portfolios with an accent on financial analysis, data accuracy, and lending lifecycle controls. Focus on maintaining monitoring trackers, identifying exceptions, preparing covenant and portfolio reports, and coordinating documentation across credit, risk, agency, operations, and transaction management teams.
Location: Miami, United States. Applicants must be legally authorized to work in the United States on a full-time basis without employer sponsorship.
Annual base pay range: $67,500–$110,000 USD.
Company
is a global financial services organization developing technology-driven, customer-centric banking solutions.
What you will do
- Perform financial spreading and basic credit analysis for assigned borrowers using financial statements, internal systems, and portfolio templates.
- Prepare quarterly and annual reviews by gathering financials, covenant certificates, collateral data, borrower updates, ratings inputs, and prior review materials.
- Track financial statement deliveries, covenant certificates, borrowing base certificates, collateral deliverables, insurance requirements, and review deadlines.
- Identify missing or late deliverables, data inconsistencies, and potential exceptions for escalation.
- Support amendments, waivers, lifecycle events, audits, credit reviews, regulatory requests, and management reporting.
- Prepare status reports, covenant dashboards, exception trackers, and portfolio data extracts while supporting data quality and process improvement initiatives.
Requirements
- Bachelor’s degree or equivalent work experience.
- At least 1 year of relevant experience in credit analysis, finance, accounting, banking, lending operations, portfolio monitoring, agency, risk management, or a related field.
- Foundational knowledge of financial statements, credit analysis, Excel, and corporate finance.
- Strong analytical, organizational, written communication, data-entry, financial-spreading, and variance-analysis skills.
- High accuracy, reliable follow-through, comfort with recurring deadlines and trackers, and willingness to learn credit, covenant, loan, and portfolio reporting systems.
- Full-time authorization to work in the United States without employer sponsorship is required.
Nice to have
- Exposure to infrastructure finance, structured finance, leveraged finance, investment-grade corporate lending, GTB, banking, credit, or lending.
- Established work history or equivalent experience demonstrated through work, training, military service, or education.
Culture & Benefits
- Customer-centric, technology-driven financial services environment.
- Collaboration with Front Office, Credit, Risk, Agency, Operations, Transaction Management, and Finance stakeholders.
- Inclusive workplace with equal employment opportunity and accessible application support.
- Rewards and benefits package supporting employees, families, and well-being.
- Strong risk culture with proactive and responsible risk management expected at every level.
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