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Vice President, Portfolio Management

$185k - $240k

ING Financial Services LLC

About the Position Vice President – Portfolio Management – Project Finance: Lead the ongoing management and oversight of the project finance loan portfolio, ensuring robust credit monitoring, analytics, and reporting. Responsibilities Actively manage all facets of the daily operations of the identified portfolio Routinely analyze credit migration trends of the portfolio and individual names Generate ideas for value‑added cross‑buy or client opportunities Conduct quarterly and annual credit reviews Prepare quarterly Credit Risk Management ("CRM") portfolio reviews Process amendment and waiver requests, write or review credit modifications, submit to risk, address Q&A, and follow‑up on required legal amendments until execution Track compliance of financial covenants and other reporting covenants such as construction/operating reports, insurance, etc. Review annual risk rating updates prepared by an administrative support team Oversee and prepare collateral monitoring reports Prepare and maintain reports as requested by regulators, rating agencies and other external parties Maintain department and industry databases/trackers Maintain internal portfolio tracking metrics Respond to ad hoc internal requests on portfolio composition and exposure Coordinate and work with offshore portfolio support teams Conduct diligent and proactive credit monitoring of all covenanted financial and project information (e.g., financial models, borrower and adviser operational/construction progress reports) and ensure compliance with all regular reporting activities in line with the bank’s policies and procedures Take an active role in oversight and development of junior project finance team members Interface with relationship managers and sector specialists to maintain active dialogue on credit trends, challenges and opportunities with individual borrowers Ensure accurate internal system processing (Vantage) including GRID, FINAN, TSC, Risk Rater Monitor and identify market developments and proactively manage their potential impact on the portfolio Lead support team coordination between Portfolio Management and Origination to ensure timely and accurate response to internal (CAS) and external regulatory controls and audits through required insights, reports and participation in dialogue Stay up-to-date on organizational operating policies and procedures (e.g., Risk, Legal) and facilitate implementation Coordinate with KYC/CDD team Assist with execution of new transactions, amendments and refinancings as needed Qualifications and Competencies Minimum of 6 years of project finance and/or energy and commodities finance experience BA/BS in finance/economics/accounting/management/engineering (or similar); CFA a plus Spanish proficiency a plus Strong financial and credit analysis capabilities Strong financial modeling capabilities Knowledge of the industry and experience with project finance structure Excellent presentation and communication skills Ability to thrive in a fast‑paced environment with multiple competing priorities Committed and dedicated individual Understanding of risks associated with project finance Knowledge of legal documentation Proficiency in MS Excel and Word Case study including writing sample and a debt modeling test Benefits Salary range: $185,000 - $240,000 Comprehensive health benefits Generous 401(k) savings plan Competitive paid time off Adoption, surrogacy, and fertility services Student debt assistance Subsidies for commuting and fitness expenses ING is a committed equal opportunity employer. We welcome applicants of diverse backgrounds and hire without regard to race, gender, religion, national origin, citizenship, disability, age, sexual orientation, or any other characteristic protected by law. #J-18808-Ljbffr

Vacancy posted 3 days ago
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