Credit Risk and Portfolio Management Associate at Infrastructure Credit Guarantee (InfraCredit)

Job Overview

Location
Lagos, Lagos
Job Type
Full Time
Date Posted
3 years ago

Additional Details

Job ID
3120
Job Views
144

Job Description



Location: Lagos Island, Lagos


Job Summary



  • The Credit Risk and Portfolio Management Associate will be responsible for carrying out assigned credit risk and portfolio management activities of InfraCredit.


Job Description



  • Provide support in ensuring alignment of the term sheet, credit paper, legal and security agreements to the guarantee policy and Manage/coordinate the CP fulfilment and sign-off process.

  • Assist in ensuring that all relevant deals are being monitored by obtaining relevant information and understanding the credit conditions to be monitored (conditions precedent, waived conditions and ongoing conditions).

  • Meeting with the Origination and Structuring team to ensure clear understanding of deal (structures, models, security, etc.) at handover stage.

  • Capture the relevant information into the TMU database including tracking of important dates, performance linked indicators and events relating to each deal under management.

  • Maintain contact with the client representative to ensure that the required risk information is received in a timely manner.

  • Monitor and report on credit risk on a transaction, client and portfolio level by ensuring:

  • Client / transaction information is obtained and used to determine compliance to credit conditions / covenants and non-compliance is reported in a timely manner.

  • Periodic and ad-hoc visit are carried out to review, where relevant, client operations and/or InfraCredit’s security and providing a comprehensive status report, which must include identification of potential structural weakness in the security.

  • Keeping track of all breaches noted on transactions and Escalating breaches to the appropriate sanctioning authority and proposing relevant corrective actions.

  • Analyze client performance against bank statements, production, sales, key expenses etc

  • Track and monitor key parameters for the Risk Appetite Framework.

  • Escalate potential breaches in sector/obligor/rating limits as per approved framework.

  • Manage the portfolio stress testing process as outlined in credit policy.

  • Drive Model validation and back testing process under the guidance of the Head of Credit.


Requirements



  • B.Sc from a reputable Institution.

  • 3 - 7 years of work experience.

  • Strong understanding of Portfolio management, Credit analysis and policies.

  • Good understanding of the legal environment as it affects commercial transactions in the capital market space.

  • Strong alignment with InfraCredit core values – Integrity, Passion,Innovation and Collaboration

  • Detailed understanding of accounting – management and financial accounting – to analyse financial strengths and weaknesses of clients and identify potential risks.

  • Strong background in risk management and credit analytical skills.

  • Understanding of property finance, project finance and leveraged& acquisition finance transactions

  • Understanding of financial guarantees and capital market instruments.

  • Knowledge of risk systems and derivative instruments.

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