الصفحة الرئيسية قطر AVP - Portfolio Management Specialist

الصفحة الرئيسية قطر AVP - Portfolio Management Specialist

AVP - Portfolio Management Specialist

دوام كامل في a Laimoon Verified Company في Qatar
نُشرت يوم June 3, 2024

تفاصيل الوظيفة

Title:AVP Portfolio Management Specialist - SME

Client:Large Bank located in Doha

Job Summary:As the AVP Portfolio Management Specialist within SME Portfolio Management, you will play a crucial role in supporting the bank's strategic objectives by providing insightful analysis and managing the SME portfolio. You will work closely with various stakeholders to ensure the optimal performance and growth of the SME segment, contributing to the bank's overall success.

Key Responsibilities:

Portfolio Analysis & Management:

Conduct detailed analysis of the SME portfolio to identify trends, risks, and opportunities.

Develop and implement strategies to optimize portfolio performance, including risk mitigation and growth initiatives.

Monitor and report on key performance indicators (KPIs) and financial metrics related to the SME portfolio.

Data Management & Reporting:

Gather, validate, and analyze data from multiple sources to support decision-making processes.

Prepare comprehensive reports and presentations for senior management, highlighting portfolio performance and strategic recommendations.

Ensure data accuracy and integrity in all reporting and analytical activities.

Stakeholder Collaboration:

Work closely with relationship managers, credit risk teams, and other internal stakeholders to align portfolio management strategies with business goals.

Facilitate communication and collaboration across departments to ensure a cohesive approach to SME portfolio management.

Market Research & Insights:

Conduct market research to stay abreast of industry trends, competitive landscape, and regulatory changes impacting the SME sector.

Provide actionable insights and recommendations based on market analysis to drive portfolio growth and innovation.

Process Improvement:

Identify and implement process improvements to enhance efficiency and effectiveness in portfolio management.

Develop and maintain policies and procedures to ensure best practices in SME portfolio analysis and management.

Risk Management:

Assess and manage risks associated with the SME portfolio, ensuring compliance with the bank's risk appetite and regulatory requirements.

Develop risk mitigation strategies and work with relevant teams to implement them effectively.

Qualifications:

Bachelor's degree in Finance, Business Administration, Economics, or a related field. A master's degree or professional certification (e.g., CFA, FRM) is preferred.

Minimum of 10 years of experience in business analysis, portfolio management, or a related role within the banking sector, with a focus on SMEs.

Strong analytical skills and proficiency in financial modelling, data analysis, and reporting tools.

Excellent communication and presentation skills, with the ability to convey complex information to senior management and other stakeholders.

Proven track record of collaborating effectively with cross-functional teams and driving strategic initiatives.

In-depth knowledge of the SME sector, including market trends, challenges, and opportunities.

Familiarity with regulatory requirements and risk management practices related to SME banking.

MUST HAVE experience of product/portfolio profitability, either developed personally or used existing framework of their previous banks#J-18808-Ljbffr

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