Act as a core member of the Portfolio Management Team with primary responsibility for portfolio management activities including balance sheet optimization, capital efficiency and portfolio-level risk management across the MEA portfolio.
Lead and drive portfolio strategy and capital optimization initiatives including asset recycling, secondary distribution and structural balance sheet efficiency improvements.
Contribute to the enhancement of portfolio transparency and decision‑making through the continuous improvement, maintenance and effective use of portfolio analytics dashboards and reporting tools.
Execute robust and proactive post‑execution credit monitoring with a strong focus on early risk identification, structured escalation and portfolio discipline.
Serve as an independent credit quality assurance and checker function working closely with Portfolio Management, Credit Business and Operations stakeholders t...
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