Master’s degree or foreign equivalent in Finance or related field and 3 years of experience in the job offered or related occupation.
3 years of experience with each of the following skills is required:
Experience in commercial banking underwriting and portfolio management
Due diligence, deal structuring, financial modeling, sensitivity analysis, credit underwriting, and documentation negotiation
Direct credit experience in underwriting and management of pre-profit, mid and late-stage technology companies and large global enterprises
Evaluating loans with complex structures, including asset-based, junior lien and venture debt
Experience using commercial lending software and credit research tools, including Moody’s, D&B, and S&P’s Capital IQ
Leading internal and external credit-related communications, providing succinct credit analysis and recommendations to internal stakeholders, and collaborating and negotiating with customers' finance leaders
Conducting portfolio management, including financial spreading, forecasting, and modeling
Leading collateral management, negotiation, and documentation for the portfolio