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Senior Portfolio Analyst – Credit Risk Management Group up to $120K plus bonus International Financial Firm is seeking a Portfolio Analyst in a new start up department of the bank. Analyst will be supporting a portfolio management department of the Bank with duties to include: - Performing quantitative analysis on the Bank’s commercial loan portfolio using portfolio analytical applications and market information
- Provide assistance in establishing and implementing policies and procedures in the area of portfolio management and define requirements of credit portfolio analysis tools
Requirements: - Several years experience in credit risk portfolio management
- Bachelor’s degree is preferred with emphasis on quantitative disciplines (Computer Science, Mathematics/Statistics, Finance, etc.)
- Ability to communicate effectively with all levels of management
- Strong initiative and work ethic with the ability to work well in a team and on a self-directed basis.
- Ability to use applications such as Access and write programs/codes
- Will manage small team of 2-3 people
Associate Corporate Advisory Group $70K - $80K plus bonus Top-Tiered International Financial Firm is seeking an Associate to assist supervisors in originating and executing corporate advisory service providing extensive research/analysis of industry and corporate strategy and professional valuation of company. Responsibilities: • Assist in originating M&A opportunities with strong focus on cross border M&A transactions • Track targeted industries to search corporate strategic trends and potential M&A opportunities • Conduct corporate valuation of targeted companies or business • Coordinate and lead due diligence process and lead documentation process • Contribute to enhance M&A presence and quality of M&A advisory services. Requirements: • Experience in M&A advisory business • Knowledge and skills of corporate valuation and accounting • Interpersonal skills to communicate with colleagues on global basis • High level skills in computer software, such as excel and PowerPoint • Series 7& 63 • BA, BS or same level VP – Structured Finance Group - up to $150K plus bonus Prestigious International Financial Firm is seeking a VP to find new business opportunities in project finance areas through marketing activities directed towards developers, utilities, funds, etc. Responsibilities: - Conduct marketing activities for project finance
- Conduct credit analyses and due diligence on new business opportunities
- Guide the deals through closing and smooth hand over to the portfolio group
- Perform related duties and participate in special projects as required
Requirements: - Minimum of 10 years experience in project finance, including marketing, execution, due diligence, documentation, credit analyst and administration
- BA or equivalent is required
- Solid experience in finance, accounting, legal/documentation and the project finance market are essential
VP - Asian Equity Research Sales position - $100K-$175K plus bonus Primary Dealer - major International Investment bank, is seeking experienced sales staff to solicit client orders and provide research support to Institutional Money Managers. Requirements: Requires series 7, 63 and 55. 2-3 years Asian Equity Sales experience. Fluency in Mandarin Chinese and/or Cantonese preferred. Knowledge of Asian companies. Has North American investor base, and products. The ability to generate unique ideas for all clients is required. Good compliance record a must. Officer/AVP – CM Credit Group – up to 92K plus bonus A prestigious financial institution is looking for a Credit Analyst for the CM Credit Group. Responsilities: Responsible for credit analysis, credit write-ups and credit risk control tasks. Prepare credit applications and grading reviews to determine client creditworthiness. Conduct client, industry and transaction research and analysis, and make preliminary credit recommendation to the reporting line and management. Interface with marketing desk and credit sanctioning authority during the approval process. Prepare reports as required by management, the head office, auditors, and regulators. Monitor and verify new and existing trades for compliance with credit approvals and policies. Other pertinent credit database upkeep, credit control and analysis activities as assigned. Experience: Minimum 2 years experience analyzing corporate credits at a leading financial institution. Experience with financial data spreading applications and internal credit rating systems. Bachelor's Degree with major in Accounting/Finance/Economics. Advanced degree (MBA) in Finance or professional financial certification preferred. Completion of formal credit training and/or proven hands on experience as a financial analyst. Lending and/or derivatives related operational experience a plus. Excellent written and verbal communication skills required. Must be motivated and be a team player with a strong sense of responsibility. Ability to multitask, work independently or cooperatively and meet deadlines. Proficiency in MS Office applications, particularly spreadsheet functions, and Bloomberg. AT/AVP Level – FDAD Portfolio Management & Credit Research Group – Up to 92K plus bonus A leading financial institution is seeking a credit professional with US corporate buy side/lending experience with a commercial bank (Financial Institutions Group is preferrable), finance company or loan management fund. For Analyst Level (1-2) years of buy side/lending experience with a commercial bank (Financial Institutions Group is preferrable), finance company or loan management fund). For AVP Level (3) years of buy side/lending experience with a commercial bank (Financial Institutions Group is preferrable), finance company or loan management fund.) Description: Prepare in-depth credit analysis, credit write-ups and rating sheets, etc. Perform periodical portfolio and credit reviews. Requirements: Formal credit training required. Strong credit and writing skills. Must be a team player.
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