credit allocation assistant manager

yayınlanma
şimdi başvur

iş ilanı detay

yayınlanma
lokasyon
istanbul, ıstanbul (avrupa)
sektör
Other
referans numarası
5138

iş tanımı

We are looking for a Credit Allocation Assistant Manager who will contribute to the development and implementation of credit policies and procedures of the Bank such as full-cycle credit activities from underwriting, monitoring to recovery, ensure timely and accurate evaluation of all client requests and management of credits issued.

Job Description:



Develops implements and regularly revises the credit policy and the respective procedures, ensures their effective implementation to be in alignment with the current legislation and regulations as well as with group guidelines.



Executes credit-worthiness analysis in order to ensure the accurate and timely evaluation of all client requests and the minimization of credit risk.



Regularly monitors and reports credit risk exposure to authorities.



Ensures all necessary actions (i.e. collaterals, loan restructuring, etc.) taken to minimize the Bank’s exposure to credit risks.



Assists Credit Allocation Manager in directing all required activities for the development of the necessary infrastructure for the automation of credit processes in order to enhance the efficiency and effectiveness of credit operations.



Supports Credit Allocation Manager on identifying credit training needs and requirements for the Bank’s employees in terms of credit transactions, processes and documentation, develops the respective credit training program and ensures the effective implementation of training activities in order to contribute to the development of the desired credit culture



Follows the credit portfolio of the Bank



Follows sectoral updates in the market



Oversees data collection ensuring timeliness and accuracy



Develops, implements and maintains credit data marts for modeling and reporting

nitelikler

Desired Skills Experience



Bachelor’s degree from a reputable university with a major in Business/Economics/Finance. Master's Degree in Business Administration is preferred



Minimum 8 years of professional experience in the related function of the banking sector



A solid understanding of investment portfolio strategy, banking, and financial instruments



Excellent knowledge of markets, credit business, and regulations



Advanced level of spoken and written English



Strong verbal communication skills



Advanced level of MS Office programs



Sufficient knowledge of counterparty risk assessment and country risk reporting



Experienced in project finance and cross border credit exposures, and regulatory credit risk reporting



Experienced in Firm Analysis Report preparation in English



Strong analytical skills



Outstanding communication and interpersonal skills



Meticulous and detail-oriented, and consistently accurate



High level of organization and excellent project management skills



Solid problem solving and time management skills



No military obligation for male candidates
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