Barclays Investment Bank · 4 months ago
D Sanctioner SLF Risk
Barclays Investment Bank is seeking a D Sanctioner SLF Risk to independently assess and make credit decisions for complex financing transactions within the LevFin, SLF, and Hedge Funds sectors. The role involves analyzing financial information, monitoring portfolio performance, and developing credit risk strategies while ensuring compliance with regulatory requirements.
BankingFinancial Services
Responsibilities
Analysis of complex financial information and business models of LevFin, SLF, and Hedge Fund clients to assess their creditworthiness, repayment capacity, and potential risks
Monitoring of the performance of the LevFin, SLF, and Hedge Fund portfolio, identifying and reporting early warning signs of potential credit deterioration
Evaluation of the risk profile of each application considering factors like industry trends, borrower financials, collateral, and market conditions
Documentation credit decisions and rationale in a clear and concise manner, adhering to internal audit and regulatory reporting standards
Development and implementation of strategies to mitigate identified credit risks and optimise portfolio performance
To manage a business function, providing significant input to function wide strategic initiatives
Contribute to and influence policy and procedures for the function and plan, manage and consult on multiple complex and critical strategic projects, which may be business wide
They manage the direction of a large team or sub-function, leading other people managers and embedding a performance culture aligned to the values of the business
Provide expert advice to senior functional management and committees to influence decisions made outside of own function, offering significant input to function wide strategic initiatives
Manage, coordinate and enable resourcing, budgeting and policy creation for a significant sub-function
Escalates breaches of policies / procedure appropriately
Foster and guide compliance, ensure regulations are observed that relevant processes in place to facilitate adherence
Focus on the external environment, regulators, or advocacy groups to both monitor and influence on behalf of Barclays, when appropriate
Demonstrate extensive knowledge of how the function integrates with the business division / Group to achieve the overall business objectives
Maintain broad and comprehensive knowledge of industry theories and practices within own discipline alongside up-to-date relevant sector / functional knowledge, and insight into external market developments / initiatives
Use interpretative thinking and advanced analytical skills to solve problems and design solutions in often complex/ sensitive situations
Exercise management authority to make significant decisions and certain strategic decisions or recommendations within own area
Negotiate with and influence stakeholders at a senior level both internally and externally
Act as principal contact point for key clients and counterparts in other functions/ businesses divisions
Mandated as a spokesperson for the function and business division
Qualification
Required
Extensive experience in credit risk or relevant experience, preferably gained at a major institution, covering the US Resi structured credit markets and/or CRE-related corporate lending facilities to mortgage and equity REITs (e.g. RCF's and other corporate credit facilities)
Derivatives documentation and credit terms
Possess strong analytical skills with attention to detail, ability to provide big picture decision making, and ability to mentor and train junior staff
Possess strong interpersonal, verbal and written communication skills, and can clearly articulate complex concepts and ideas
Strong performance track record in leadership and credit risk management
Preferred
An MBA, CPA, or CFA and / or Formal Credit training
Experience of building and maintaining effective relationships at a senior level
Decision making and problem solving in a complex environment
Ideally having held delegated sanction authority within a large institution with track record of prudent execution
A high degree of self-motivation, ability to delegate, a drive for results, and track record of setting and achieving goals and multi-tasking to meet competing deadlines
Company
Barclays Investment Bank
Barclays Investment Bank offers large corporate clients with strategic advisory, financing, and risk management solutions. It is a sub-organization of Barclays Corporate Banking.
Funding
Current Stage
Late StageLeadership Team
Recent News
2025-12-29
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2025-11-10
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