OverviewThis is a hybrid role, with the expectation that time working will regularly take place inside and outside of a company office.The Special Assets Officer II is responsible for supporting senior team members with the management of more complex portfolios of distressed and stressed in order to minimize losses to the Bank. The primary focus of this position is to maximize recoveries and minimize losses of our stressed and distressed loan and equity positions through complex modeling and restructuring efforts to bridge to an exit or turnaround. Exposures can be bi-lateral, participations in syndicated facilities or agent led transactions.ResponsibilitiesAsset Management - Creates more complex credit and valuation models to structure workout strategies for the Borrowers. Utilizes portfolio financial analysis of stressed and distressed to create models to prepare and process portfolio reviews, credit action applications and upgrade/downgrade memos.Business Support - Works closely with senior team leaders in the development, implementation, and monitoring of restructured strategies. May negotiate amendments, waivers, restructuring proposals, and other necessary credit documentation.Regulatory Compliance - Maintains current knowledge practices and regulations that pertain to management of stressed and distressed portfolios to ensure adherence to regulations and Bank policies and procedures. Performs due diligence to identify risks associated with credit actions.Collaboration - Interfaces across multiple internal business units to ensure timely, efficient, and compliant management and resolution of stressed and distressed portfolios. Translates model/valuation information into meaningful and understandable formats.Qualifications

OverviewThis is a hybrid role, with the expectation that time working will regularly take place inside and outside of a company office.The Special Assets Officer II is responsible for supporting senior team members with the management of more complex portfolios of distressed and stressed in order to minimize losses to the Bank. The primary focus of this position is to maximize recoveries and minimize losses of our stressed and distressed loan and equity positions through complex modeling and restructuring efforts to bridge to an exit or turnaround. Exposures can be bi-lateral, participations in syndicated facilities or agent led transactions.Responsibilities

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