Experteer Overview
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As a Credit & Portfolio Management Analyst, you will support post-closing deal execution and maintain portfolio data quality to safeguard risk-adjusted performance. You work with senior colleagues to drive timely client follow-up, regulatory reporting, and strategic refinancings. Your insights help monitor risk and contribute to RWA targets across the Real Estate Capital Markets (RECM) team in EMEA. You will interface with relationship managers, risk, and middle office to ensure covenant compliance and accurate KYC processes. This role offers hands-on exposure to complex restructurings and a chance to shape credit portfolio management within a leading European bank.
Compensaciones / Beneficios
• Conduct annual reviews and manage waivers/amendments while verifying covenant compliance
• Analyze portfolio data and present concise findings to internal stakeholders
• Perform KYC renewals and ensure data quality for regulatory reporting
• Coordinate with relationship managers, middle office, and risk teams on credit files and watch-list updates
• Support seniors in refinancings, restructurings, and ad-hoc projects
Responsabilidades
• Proven experience in structured finance or a related credit-portfolio role
• Solid understanding of the bank's credit-approval process and risk-monitoring tools
• Advanced analytical capabilities and ability to form xpzdshu market viewpoints
• Proficiency in Microsoft Office and BNP Paribas risk-monitoring systems
• Fluency in English (mandatory); Italian preferred; Spanish a plus
• Commitment to BNP Paribas values, proactive attitude and high integrity
Requisitos principales
• Tailored training programmes
• clear career paths
• global mobility options
• Corporate volunteering (1 Million Hours 2 Help)
• Flexible compensation plan
• 50% hybrid work model