- MUFG (Los Angeles, CA)
- …comprehensive banking services and cross-sell MUFG products, while effectively managing credit risk in collaboration with colleagues in Japanese Corporate ... mergers and acquisitions, leasing, securitization, syndications, structured and trade finance , and cash management activities. Team ...Defense" taking part in client diligence along the Portfolio Management Team & Credit Department in both… more
- Umpqua Bank (Walnut Creek, CA)
- …monitoring of a large, complex CRE portfolio. Responsible for identifying and communicating credit risk by leading the preparation of monthly, quarterly, and ... managing a large, complex portfolio to identify and communicate risk and to monitor credit quality. +...customer experience. + Collaborate with internal partners in Treasury Management and Global Payment and Deposit Services to create… more
- SMBC (Los Angeles, CA)
- …and management of the Loan Portfolio Group loan portfolio, as well as the management of the Portfolio Managers and Credit Officers on the team. * Prepare ... services of a smaller bank. Specialties: Commercial Loans and Lines of Credit , Asset-Based Financing, SBA Loans, and Specialized Financing, Real Estate Loans, Cash… more
- BMO Financial Group (Newport Beach, CA)
- …+ Detail-Oriented + Analytical Thinking + Loan Structuring + Regulatory Compliance + Portfolio Management + Credit Risk Assessment + Banking Operations + ... financial analysis and calculations, assesses client creditworthiness, prepares detailed credit summaries, analyses financial performance and risk profiles… more
- Banc of California (Santa Ana, CA)
- …to asset-based lending, term loans, and commercial real estate loans. * Performs independent credit analysis and risk assessment of new and existing credit ... Administration team to obtain due diligence information needed to underwrite the credit request, perform risk rating reviews, and/or monitor covenant compliance… more
- Citizens (Los Angeles, CA)
- …+ Strong understanding of financial statement analysis, tax return interpretation, and credit risk assessment. + Proven ability to structure, underwrite, and ... you, personally and professionally. Primary responsibilities include + Responsible for proactive credit and risk administration of assigned portfolio accounts. +… more
- Fifth Third Bank, NA (Newport Beach, CA)
- …needs are being met + Lead and coordinate all client facing activities, including credit support, treasury management , and capital markets + Utilize the Bank's ... with Portfolio Managers and Credit Officers on credit requests and adhere to established Portfolio Management...performance, condition, and industry trends to determine that any credit exposure is at an acceptable risk ,… more
- Truist (San Francisco, CA)
- …relationships by offering a full range of loan, deposit, Capital Markets, Treasury, Risk Management and other fee-based services to existing and prospective ... identification and mitigation, all in accordance with the Truist credit risk appetite. 4. Proactively contact clients...Highly skilled and proficient in most aspects of corporate finance , Capital Markets, Treasury, and other non- credit … more
- Umpqua Bank (Walnut Creek, CA)
- …and Relationship Managers to accurately present findings, including business rationale and risk mitigations,in order toobtain credit approval and meet customer ... revision. Includes: (1) quantitative components within the underwriting narrative documenting the credit analysis; (2) accurate use of risk rating scoring models… more
- University of Southern California (Los Angeles, CA)
- … management , and ancillary services. + Strong understanding of commercial underwriting, credit risk analysis, and portfolio management . + Demonstrated ... management , and ancillary services. Strong understanding of commercial underwriting, credit risk analysis, and portfolio management . Demonstrated ability… more