This Vice President opportunity sits within the independent Enterprise Risk function of a well-established global financial institution, offering second-line credit oversight across leveraged finance, acquisition finance, and complex corporate lending transactions. The role carries meaningful independent review responsibility assessing credit applications submitted by the front office, challenging assumptions, validating risk ratings and Basel parameters, and engaging directly with senior credit committees on complex, time-sensitive transactions. It's an ideal fit for a credit-trained risk professional with direct leveraged finance or acquisition finance experience who combines strong independent judgment with the ability to provide credible challenge, manage high deal volumes in a fast-paced environment, and communicate risk views clearly to senior stakeholders.
RESPONSIBILITIES
Conduct independent, second-line credit risk assessments of leveraged finance, acquisition finance, and complex corporate lending transactions;review credit applications prepared by the front office for completeness, consistency with internal policies, and appropriateness of risk
Provide independent credit risk opinions and recommendations to senior Credit Officers and risk committees;present and defend credit views on complex transactions in a clear, well-structured manner
Engage directly with trading desks, relationship managers, and front office teams to challenge assumptions, identify key risks and mitigants, and ensure sound credit structures prior to formal credit submission
Validate and recommend appropriate internal risk ratings, Basel parameters (LGD), and regulatory loan classifications across the leveraged finance and acquisition finance portfolio
Monitor portfolio credit quality on an ongoing basis including covenant compliance tracking, early warning signal identification, and proactive escalation of deteriorating credits to senior risk management
Coordinate with Head Office and global risk teams on names under delegated authority;respond to requests from Loan Review, internal and external auditors, and regulatory bodies in a timely and well-documented manner
Contribute to portfolio reviews, risk framework development, and ad hoc risk analysis projects as directed by senior risk leadership
Act as a risk manager with full accountability for identifying, escalating, and managing credit risks in strict accordance with all internal policies, procedures, and risk controls
Numbers & Facts
Location
Charlotte, NC
Skills
Communication Skillsunmatched
Credit Analysisunmatched
Credit Riskunmatched
External Auditunmatched
Financeunmatched
Financial Analysisunmatched
Financial Managementunmatched
Global Financial Marketsunmatched
Internal Auditunmatched
Leadershipunmatched
Loan Regulationsunmatched
Loan Reviewunmatched
Loansunmatched
Maintain Complianceunmatched
Quality Monitoringunmatched
Regulationsunmatched
Riskunmatched
Risk Analysisunmatched
Risk Managementunmatched
Time Managementunmatched
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