Key Responsibilities:
- Manage a diverse portfolio of projects, ensuring optimal performance and mitigating risks.
- Conduct thorough credit analyses, assessing financial statements, market trends, and project viability.
- Collaborate with internal teams to develop and execute strategies for portfolio optimization and risk mitigation.
- Monitor portfolio performance, identifying potential issues and implementing corrective actions as needed.
- Provide insightful recommendations to senior management, informing strategic decisions and investment priorities.
- Stay abreast of industry developments and regulatory changes, ensuring compliance and adherence to best practices.
Requirements:
- Proven experience in Portfolio Management and credit analysis within Project Finance or related fields.
- Strong analytical skills, with the ability to interpret complex financial data and assess creditworthiness.
- Excellent communication and interpersonal skills, with the ability to collaborate effectively with internal and external stakeholders.
- Strategic mindset with a results-oriented approach, capable of driving portfolio performance and risk management initiatives.
- Bachelor's degree in Finance, Economics, Business, or related field. Advanced degrees or professional certifications are a plus.
Perks of the Role:
- Competitive salary package and benefits
- Opportunity to work with a prestigious firm in London's financial hub
- Professional development and growth opportunities
- Collaborative work environment with a supportive team
How to Apply:
If you're ready to embark on an exciting journey in Project Finance and make a meaningful impact in a fast-paced environment, we want to hear from you! Submit your resume and cover letter to to be considered for this exhilarating opportunity.