PORTFOLIO MANAGER I - Middle Market, Leveraged & Syndications
WHAT IS THE OPPORTUNITY? The Portfolio Manager is part of the credit management team focused on the long-term risk-adjusted returns for the bank within the assigned business segment and/or geographic area(s). This individual manages a sub-set of existing credits and is a key partner in the origination of new credits.
Primary responsibilities include:
- Underwrite cash flow-based financing for public and private middle market companies across a variety of industries
- Transaction types include syndicated loans and line of credit, trade finance, foreign exchange, acquisitions, recapitalizations, growth capital, etc.
- Underwrite leveraged lending profiles and cash flow structures through projection modeling and enterprise value analysis.
- Prepare quarterly and annual reviews, review covenant compliance and evaluate borrower amendment req...