Throughout the life of the structured financing transactions, you will focus on :
Supporting new deals closing process drafting the deals periodical reviews and proposing the appropriate internal rating.
Assuring a proper and timely deals risk monitoring,
Drafting the deals periodical reviews and proposing the appropriate internal ratings,
The management of exposure to risk events in terms of breach of covenants, waivers and amendment requests.
The close monitoring and update of transactions under supervision;
Assuring the compliance with all regulation procedure in force, both at local or at Group level.
Providing all services linked to Agency role;
The completion of the above tasks needs a strong cooperation with other bank’s departments such as Risk, Legal and Tax, Business Lines and Back Offices as well as other financial institutions and clients.
Degree in finance from a business and / or engineering college.
Previous experience in similar role, in Credit or Risk Dept will be appreciated as well as high school graduation in accounting.
Fluent in Italian and English, French knowledge is a plus.
Strong analytical skills.
Financial modelling skills.
Very good knowledge of the MS Office package.
Proven interpersonal skills.
Ability to work under pressure to meet tight deadlines while maintaining a high level of rigor.
Ability to be proactive and reliable.
Excellent communication and presentation skills.
We are looking for a new Risk Manager for the Agency and Risk Management team in Milan : a team with diversified competences and cooperative environment.
You will provide execution and origination support capability for leading roles in structured finance transactions in Real Estate, Project Finance and Leverage Buy Out sectors.