Credit Analysis & Credit Risk Monitoring
As transaction leader and independently manage a large portion of the team’s portfolio with minimal to no guidance.
Originate and manage the entire investment process independently for both public and private placement transactions.
Develop and maintain relationships with investment banks, brokers, rating agencies and issuers to support the flow of transactions and quality of their rating analysis.
Recommend attractive lending opportunities to Portfolio Management, Credit and Head of Corporate Finance Asia through written and oral presentations, effectively tying both risk and relative value return discussion.
Timely oversee and manage the credit quality of his / her portfolio with proactive management of problem credits and workout situations.
Produce high quality investment reports and can direct work of junior team members so that they are most effective and succeed in interactions with senior officers.
The supervision of analysts includes review of analysis, training and mentoring.
Lead and participate in other ad-hoc projects / requests as needed
Knowledge / Skills / Competencies :
A minimum of 10+ years of direct experience in credit analysis plus experience in structuring, underwriting, marketing and negotiating fixed income investments.
Direct or indirect management experience.
Superior knowledge of certain sub-sector(s) or countries.
Has developed and is continuously expanding a network of valuable relationships in their coverage industry.
Experience in leading deal execution and ability to demonstrate subject matter expertise with regards to management and due diligence of companies with whom we have prospective or existing business relationships.
Strong verbal and written communication skills and effective negotiating skills.