Vice President, Collateral Management

CLIFFORD CAPITAL MANAGEMENT SERVICES PTE. LTD.

D07 Middle Road, Golden Mile, 38 BEACH ROAD SOUTH BEACH TOWER 189767
Sgd 11,600 - 23,300 / monthly pm
On-site
Assetbacked securitization
Performance reporting
Goal oriented
Position Overview: The Portfolio and Collateral Management team is responsible for the ongoing credit and ESG risk monitoring for a portfolio of loans and bonds managed by the Clifford Capital group. You will support the management of a diverse portfolio, including assets within securitisation vehicles and private managed funds. Active Portfolio Stewardship: Execute end-to-end management of the ongoing credit risk of a diversified portfolio of infrastructure financing loans, with a broad range of underlying structures, from traditional project financing style transactions to holdco financings and mezzanine loans. Performance Reporting: Drive the preparation of high-quality portfolio reports and credit reviews. You will help synthesize operational and financial performance data into clear and impactful reports for 3rd party institutional investors and internal stakeholders. Stakeholder Coordination: Proactively engage with clients, lenders, agency banks, and internal teams to remain on the top of the latest developments related to the portfolio transactions. Conduct a comprehensive assessment and make recommendations in relation to loan waiver and amendment requests. Covenant & ESG Tracking: Take ownership of monitoring loan covenants and tracking climate-related performance metrics, ensuring the portfolio aligns with Clifford Capital’s sustainability frameworks. Collaborative Growth: Champion a “no surprises” risk culture. Work under the direct guidance of senior specialists, collaborating with Client Coverage and Risk teams to identify potential credit or reputational issues before they arise. Knowledge/ Experience Required: Good university degree in Business, Finance, Economics or related subject Minimum 5 years of relevant working experience preferred, ideally in credit analysis or portfolio management (experience in one or more of the following areas would be advantageous: infrastructure or real assets sector, acquisition financing, leveraged financing, structur

Job Summary

  • Position Overview: The Portfolio and Collateral Management team is responsible for the ongoing credit and ESG risk monitoring for a portfolio of loans and bonds managed by the Clifford Capital group
  • You will support the management of a diverse portfolio, including assets within securitisation vehicles and private managed funds
  • Performance Reporting: Drive the preparation of high-quality portfolio reports and credit reviews

Matching Summary

Match Score: 85

Position Overview: The Portfolio and Collateral Management team is responsible for the ongoing credit and ESG risk monitoring for a portfolio of loans and bonds managed by the Clifford Capital group. You will support the management of a diverse portfolio, including assets within securitisation vehicles and private managed funds. Active Portfolio Stewardship: Execute end-to-end management of the ongoing credit risk of a diversified portfolio of infrastructure financing loans, with a broad range of underlying structures, from traditional project financing style transactions to holdco financings and mezzanine loans. Performance Reporting: Drive the preparation of high-quality portfolio reports and credit reviews. You will help synthesize operational and financial performance data into clear and impactful reports for 3rd party institutional investors and internal stakeholders. Stakeholder Coordination: Proactively engage with clients, lenders, agency banks, and internal teams to remain on the top of the latest developments related to the portfolio transactions. Conduct a comprehensive assessment and make recommendations in relation to loan waiver and amendment requests. Covenant & ESG Tracking: Take ownership of monitoring loan covenants and tracking climate-related performance metrics, ensuring the portfolio aligns with Clifford Capital’s sustainability frameworks. Collaborative Growth: Champion a “no surprises” risk culture. Work under the direct guidance of senior specialists, collaborating with Client Coverage and Risk teams to identify potential credit or reputational issues before they arise. Knowledge/ Experience Required: Good university degree in Business, Finance, Economics or related subject Minimum 5 years of relevant working experience preferred, ideally in credit analysis or portfolio management (experience in one or more of the following areas would be advantageous: infrastructure or real assets sector, acquisition financing, leveraged financing, structur

Salary

SGD 11,600 - 23,300 / Monthly

Skills & Requirements

Must-have

  • Assetbacked Securitization
  • Performance Reporting
  • Goal Oriented
  • Economics
  • Portfolio Administration

Nice-to-have

  • Microsoft PowerPoint
  • Project Finance
  • Positioning
  • Finance
  • Stakeholder Management
  • Initiative
  • Business Operations
  • Reporting To Investors
  • Credit Risk Analysis
  • Training Delivery

Key Requirements

  • Minimum 5 years experience

Work Rights

Tailored Resume

Cover Letter