Risk - ICG - Credit Portfolio Senior Officer - VP

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Risk - ICG - Credit Portfolio Senior Officer - VP-19033303

Position Objective:

As a member of the Global Industries and Regional Credit (“GI & RC”) group, this position will be a part of the EMEA Core Client team and will manage corporate credit exposures in a variety of products to a broad range of clients from global investment grade names to smaller non-investment grade names. This position will support industry, product and risk partners in day to day credit activities as well as episodic strategic activities such as M&A.



Key Responsibilities:


  • Maintain and manage a portfolio of complex cross-product (derivatives, ECA financing), cross-market (senior bank / bond) transactions
  • Transactions include acquisition financing, leveraged financing, recapitalizations, and securitizations
  • Primary industry coverage for the EMEA market
  • Work with Capital Markets counterparts on credit approval and execution of transactions identifying key risks and structuring transactions to mitigate credit concerns
  • Manage deal approval process including preparation of credit approval memos and transaction execution with product partners
  • Review, approve, and manage credit analysis on a quarterly and annual basis
  • Co-manage troubled assets with IRM colleagues including valuation analysis, amendment approvals and monthly credit reviews
  • Assist with special projects including stress testing, portfolio reviews, FCR, Risk Rating processes, Credit Policies and other programs reviews across product groups
  • Interface with internal product / regional counterparts on new and existing deals
  • Meet with sponsors and work with bank syndicates (as Agent) and consultants
  • Work with portfolio manager on risk mitigation





Knowledge, skills and experience required:

  • Strong understanding of corporate finance and banking products
  • Knowledge of bank and capital markets products and services; specific industry familiarity helpful
  • Strong product and industry knowledge
  • Solid understanding of policies and procedures impacting the Credit Risk Management framework
  • Sound risk and business judgment on the full spectrum of risk issues
  • Independent problem solving skills
  • Demonstrable skills required
  • Strong written and verbal communication skills with the ability to present analysis and recommendation in a succinct manner
  • Proven strong analytical skills with good attention to detail, ability to provide big picture decision making and to mentor junior staff
  • Demonstrated aptitude for tackling analytical questions through quantitative modeling and the analysis and manipulation of large data elements
  • Ability to meet deadlines created due to business needs
  • Ability to conduct onsite due diligence visits with relationship managers
  • Bachelor’s degree in Business Administration, Finance, or Economics preferred
  • Extensive years of credit risk or relevant experience, preferably gained at either Citigroup or at a major institution
  • An MBA, CPA, or CFA preferred and formal Credit Training is a plus


Exceptional candidates who do not meet these criteria may be considered for the role provided they have the necessary skills and experience.

Valuing Diversity:

Demonstrates an appreciation of a diverse workforce. Appreciates differences in style or perspective and uses differences to add value to decisions or actions and organisational success.




Citi is an Equal Opportunities Employer


29 August 2019
Location: United Kingdom London
Work type:
Full time
Banking and Financial Services
PLEASE! No enquiries from Recruitment Agencies or Headhunters.

Only direct applications will be considered.

This career opportunity is no longer open.
Please search for current vacancies here.

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