In this role, you will be responsible for working as assigned by the manager for the global product set in creating, managing and implementing product strategy for complex assigned product(s) within the Alternative Investment Services space such as single manager, fund of funds, trade execution, private equity, etc.
In this role, you will ensure overall portfolio performance and asset quality remains strong and when necessary surfaces issues, proposes and collaborates with others on strategies and actions to limit risk and loss to the Bank.
In this role, the selected candidate develops close working relationship with other divisional partners such as Retail Banking, Commercial Banking, Ag, GGLD, Trust Services, Global Financial Markets, Equipment Leasing, and Treasury Services.
In this role, the selected candidate will ensure the team applications provide a high quality of risk assessment, credit structure, due diligence, and credit presentation and adhere to methodology and address profitability objectives.
In this role, the selected candidate will review research findings, tax returns and work papers, formulates conclusions consistent with firm policies and professional standards, and determines implications and best course of action for client.
In this role, you will be responsible to direct the completion of annual reviews and renewals of existing credit relationships in a timely manner and in accordance with Credit Policy in order to minimize credit risk.
In this role, you will be responsible for receives questions, inquiries and complaints from landlords/property owners to resolve and/or route to correct person or department, and ensures issues are resolved in a timely manner.
In this position, you will provide direct support to Group Manager, Senior Credit Officer, and Relationship Managers (RM's) in regard to credit underwriting, portfolio management, compliance, and monitoring of new and existing customers within the commercial real estate loan portfolio.