Portfolio Manager - Real Estate Finance
Job in
Greater London, London, Greater London, W1B, England, UK
Listed on 2026-10-11
Listing for:
Buckden Partners Ltd
Full Time
position Listed on 2026-10-11
Job specializations:
-
Finance & Banking
Portfolio & Asset Management, Regulatory Compliance Specialist -
Real Estate/Property
Portfolio & Asset Management
Job Description & How to Apply Below
My client is an International Bank with a Real Estate Finance team that provides property investment loans up to £30m. They are recruiting for an experienced Portfolio manager to join their busy team.
Responsibilities:Responsible for the day-to-day management of a portfolio of Real Estate Finance () facilities secured on a wide variety of real estate assets including Residential, PBSA, Retail, Hotel and Office.
- Predominantly performing facilities but will include some non-performing facilities and work out/restructuring;
- Active management of the relationships with the Borrowers with day-to-day activities including:
- Processing of Rollovers/Drawdowns and Payments.
- Preparation of Credit Applications and Annual Reviews.
- Ongoing management of facility covenant monitoring.
- The negotiation of renewals, restructures, and defaults, including preparation of credit applications.
- Ensuring all facilities are KYC compliant.
- Good communication with internal stakeholders including front office originators, credit risk, back office, finance, legal and compliance to ensure smooth management of the facilities.
- Effectively manage external stakeholders and third-party professionals including asset managers, lawyers, monitoring surveyors and valuers as required.
- Coordinate middle office functions supporting the wider Real Estate Finance () business.
- To coordinate MI reporting and portfolio analysis with a focus on concentration risk, pricing and returns and exposures in the context of existing credit limits.
- Effective management of the Property Finance Arrears process focused on ensuring timely resolution and avoiding IFRS 9 staging transitions.
Skills Required:
- University degree in Real Estate or STEM subject (preferred).
- Minimum 5 years with a commercial or challenger bank in a similar management role.
- Excellent credit report writing skills and an understanding of risk analysis.
- Ability to handle complex negotiations with borrowers and asset managers and work under pressure managing multiple transactions and tasks at one time.
- Good interpersonal skills and ability to communicate to internal and external parties.
- Understanding of the key terms in real estate finance transactions.
- Competence with Microsoft Office, including Word, Excel and PowerPoint.
- Demonstrate appropriate business and risk-aware behaviours and comply with all statutory and regulatory requirements and BLME policies.
- Strong analytical skills.
Base: up to £75k (depending on experience)
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