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Structured Finance Risk Monitoring Officer – M/F/DPermanent contractMadrid, Spain
Barcelona, Catalunya, ES Structured Finance Risk Monitoring Officer M / F / D
Permanent contract Madrid Banking operations processing

Structured Finance Risk Monitoring Officer M / F / D Madrid, Spain Permanent contract Banking operations processing Responsibilities The Société Générale Group has been in Spain since 1906 offering retail banking products until 1992.
Since 1992, the Group changed its focus to Corporate and Investment Banking, Asset Management and Banking Services.
Today, the Group is one of the major actors on the Spanish market.

As a key pillar of the Société Générale Group's universal banking model, SG CIB supports the economy by playing a key intermediary role, offering broad market access to issuers and smart investment solutions to investors.

The service we bring to our corporate and financial institutions clients revolves around three main activities - investment... banking, financing, and markets - and our global franchises of equity derivatives and natural resources.

For our clients we stand out because we are a trusted advisor with a worldwide leading engineering expertise and a quality product suite.

Mission :

Credit Portfolio Management ( CPM ) department will play a key role in SG CIB's activities in general and in Global Banking and Advisory division.

CPM teams will perform an active portfolio management of CPM books in close interaction with Origination and Trading / Distribution to facilitate the client business development, optimize the use of scarce resources, liquidity, and capital, and monitor ESG commitments and trajectories.
The Spanish team is looking for an Analyst / Associate who could work for Madrid and Frankfurt Subsidiaries.

Therefore, you must communicate clearly and effectively with clients (In Spain and Frankfurt but not only) and Team members at all levels in Madrid, Paris and Frankfurt.

Tasks and responsibilities :
As Risk Monitoring Officer part of the CPM team covering activities in various business areas (Energy, Infrastructure, Leverage Finance, TMT, Strategic Acquisition and Real Estate), although with a main focus in Real Estate, will assume the following main responsibilities :
Performing detailed annual / semi-annual / quarterly credit reviews Proactively handling amendments / waivers on portfolio transactions Review of legal documentation prior to closing of transactions Ongoing risk management of transactions within portfolio (including sensitivity analysis on financial forecasts and models, assess market and environmental risks) Updating internal project ratings using internal rating model Liaising with other stakeholders within the bank (including timely warning and advice to business lines in Madrid / Frankfurt and Risk department in Paris) as well as outside the bank (clients / borrowers, other lenders, advisors) Profile required

Studies & experience :

Bachelor's degree in Business Administration, Economics or similar 2 to 4 years of relevant work experience in Risk Management matters Previous experience in Banking and / or audit firms will be highly valuable Language skills : Fluent in English and Spanish German would be highly valued French would be a plus.

Technical, operational & Soft skills :

Proficient in Microsoft Excel and PowerPoint Strong analytical skills to analyze collection data and cash flows Financial Modelling is a plus Demonstrated work ethic, positive attitude, attention to detail, and ability to multi-task Excellent written and verbal communication skills Why join us Société Générale Spain is a multi-category bank offering every employee the possibility to have several careers in a professional career path.
Internal mobility and training are two core areas we focus on, in a dynamic, prosperous and evolving context
Barcelona Spain


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