A leading asset manager in the field of alternative investments is offerng an exciting position as a Credit Risk Analyst in our Risk Management team in Frankfurt. In this role, you will review private market investments and prepare investment decisions.
- Carrying out credit analyses for senior & mezzanine financing in the areas of Real Estate, Infrastructure incl. Renewables as well as Aviation
- Support for investment decisions in the area of renewables equity
- Preparation of credit applications (second vote) and review of financial information
- Identification of risks and preparation of recommendations for credit decisions: In the run-up to investment committees, you will work closely with senior management, in particular with the Head of Risk Management and the responsible member of the Executive Board (CFO)
- Ongoing monitoring of loan portfolios in close coordination with our investment teams, support in the implementation of credit risk mitigation measures such as processing waiver applications, prolongations and restructurings
- Regular communication with investors, borrowers, banks and service providers
- Preparation of regular reports and presentations for investors and internal committees Support in projects for the further development of risk methodology (rating and scoring models, valuation models, etc.)
PROFILE SOUGHT
- Completed studies in economics, business law or a comparable field of study
- At least 4 years of experience in risk management or credit analysis, acquired at a bank, in consulting/auditing or at an asset manager; initial knowledge in restructuring and workout an advantage
- Ability to work in a team and in a dynamic environment
- Dymanic personality with strong communication skills and ability to work under pressure, who scores with a structured, result-oriented and independent way of working
- IT affinity and very good MS Office skills
- Very good written and spoken German and English skills (business fluent)
