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Risk Manager, Real Estate London

Job LocationLondon
EducationNot Mentioned
SalaryCompetitive salary
IndustryNot Mentioned
Functional AreaNot Mentioned
Job TypePermanent , full-time

Job Description

Main Tasks:

  • Market monitoring and reporting as part of a larger Risk Management team in Head Office. This relates to markets in which the Bank is already active as well as the evaluation of potential new markets/asset classes.
  • Acting as a link between the market and back office in the commercial real estate financing area
  • Participation in the processing of new business for commercial real estate commitments in Great Britain
  • Assist in the preparation, monitoring and execution of disbursements, including verification of the disbursement requirements.
  • Local support of the risk management in Head office.
  • Preparation and participation in client meetings and bank meetings
  • Market monitoring, reporting and analysis of the UK CRE market especially regarding special influences on the market such as Brexit or Covid-19.
Required Skills:
  • Degree or comparable qualification
  • Several years of experience in the area of cash-flow-oriented SPV financing (ideally with a real estate focus and preferably with an international orientation however real estate know-how can be acquired within the scope of a on-the-job training).
  • Excellent knowledge of contract standards (especially LMA) for SPV financings
  • Excellent communication and presentation skills
  • Good knowledge of MS Office applications Word, Excel and Powerpoint
  • High level of commitment, flexibility and ability to work in a team
  • Analytical competence and business-oriented way of thinking

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