Loan Management StructurerLoan Management Structurer
Intesa Sanpaolo
Milan, IT
2 gg fa

As Intesa Sanpaolo's investment Bank, Banca IMI is part of one of the top banking groups in Italy whose network also includes a major international presence.

Banca IMI's key objective is to serve its customer base of institutional investors, financial networks, corporates, and government institutions, supplying financial products and services developed with standards of excellence.

Banca IMI is looking for new qualify profiles with the following requirements :

Scope and Purpose

  • Loan book analysis and structuring of credit risk transfer transactions aimed to optimise the risk / return profile of the overall portfolio -
  • Monitoring loan market trends and pricing in the different asset classes - Preparing quantitative analysis on the proposed transactions (e.

    g. EVA creation, P&L impact, regulatory capital relief) and technical material to support internal approval process - Dealing with clients, investors and other parties involved in the structuring and execution process

    Required Experience

  • At least 7 years of experience as structurer in corporate lending and international structured finance transactions (leveraged loans, acquisition finance, project finance, real estate) -
  • Working experience in active credit portfolio management team will be considered as a plus

    Competencies Required

  • Strong academics with a Master's Degree (or equivalent) in a Finance or Economic subject - Strong quantitative aptitude and proven analytical skills -
  • IT skills including advanced Excel, VBA and PowerPoint with the ability to use financial models and software specific to the business -

    Able to work to tight deadlines and manage own workflow / priorities accordingly - Fluency in English and Italian - Excellent knowledge of international primary and secondary loan market transactions, in particular medium-

    long term financing, specialised lending and syndicated loans - Excellent knowledge of the main active credit portfolio management practices and instruments (e.

    g. loan disposal, loan hedging, cash or synthetic securitisation) - Excellent knowledge of the accounting (i.e. IFRS 9) and regulatory framework (i.

    e. Capital Requirements Regulation) for banks - Initiative, entrepreneurship and innovation - help generate new ideas / challenge existing processes -

    Ability to work in a fast-paced environment. Problem comprehension and solving - Good team player with ability to work independently and to take leadership roles in the context of complex transactions

    Everyone is an asset for our Group and that person could be you! Check out our job opportunities, apply and join our team!

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