Risk Manager, Real Estate London - eFinancialCareers
Description
Main Tasks:
- Market monitoring and reporting as part of a larger Risk Management team in Head Office. This relates to markets in which the Bank is already active as well as the evaluation of potential new markets/asset classes.
- Acting as a link between the market and back office in the commercial real estate financing area
- Participation in the processing of new business for commercial real estate commitments in Great Britain
- Assist in the preparation, monitoring and execution of disbursements, including verification of the disbursement requirements.
- Local support of the risk management in Head office.
- Preparation and participation in client meetings and bank meetings
- Market monitoring, reporting and analysis of the UK CRE market especially regarding special influences on the market such as Brexit or Covid19.
Required Skills:
- Degree or comparable qualification
- Several years of experience in the area of cashfloworiented SPV financing (ideally with a real estate focus and preferably with an international orientation however real estate knowhow can be acquired within the scope of a onthejob training).
- Excellent knowledge of contract standards (especially LMA) for SPV financings
- Excellent communication and presentation skills
- High level of commitment, flexibility and ability to work in a team
- Analytical competence and businessoriented way of thinking
More jobs from eFinancialCareers
-
Operations Control Manager, State Street Global
London, United Kingdom - 1 week ago
-
Full Stack .NET Developer
London, United Kingdom - 6 days ago
-
Associate, Portfolio Management, Leading Private
London, United Kingdom - 1 week ago
-
Senior Investment/portfolio Analyst, Fixed Income
London, United Kingdom - 19 hours ago
-
Head of Risk Management
London, United Kingdom - 1 week ago
-
Finance Analyst
London, United Kingdom - 1 week ago