Director, Portfolio Monitoring
Director, Portfolio Monitoring

Director, Portfolio Monitoring

London Full-Time 72000 - 108000 £ / year (est.) No home office possible
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At a Glance

  • Tasks: Lead and manage a diverse loan portfolio while driving strategic credit risk solutions.
  • Company: Join a fast-paced bank dedicated to supporting ambitious entrepreneurs across the UK.
  • Benefits: Enjoy equity, 25 days holiday, personalized benefits, and wellbeing events.
  • Why this job: Be part of a dynamic team that values innovation and supports the UK's best businesses.
  • Qualifications: Significant experience in credit risk management and expertise in Commercial Real Estate and Speciality Finance required.
  • Other info: Mentor a high-performing team and drive process improvements in a collaborative culture.

The predicted salary is between 72000 - 108000 £ per year.

Since our launch in 2015, we’ve lent over £10bn to ambitious entrepreneurs up and down the UK. That’s led to the creation of over 40,000 new jobs and over 29,000 new homes – and we’re not about to stop there. We’re dedicated to helping trailblazing businesses thrive and our Portfolio Monitoring team are integral to our growth.

This is a fantastic opportunity to join a fast-paced, growing bank with a reputation for doing things differently. We don’t want another cog in the machine, we’re looking for self-starters and bold thinkers who want to pave their own career paths and are passionate about supporting the UK’s best and brightest businesspeople.

The Director of Portfolio Monitoring leads the proactive oversight of a diverse loan portfolio (£1M–£50M), including Commercial Real Estate, Speciality Finance, and Fund Finance. This senior role involves identifying credit risks, managing distressed exposures, and driving process improvements to ensure safe, sustainable portfolio growth.

This role is ideal for a seasoned credit professional with a strong background in Commercial Real Estate, Speciality Finance, and Fund Finance—ready to drive strategic portfolio management and risk remediation in a dynamic environment.

Are you ready to step up to the challenge?

Responsibilities:

  1. Provide strategic leadership in monitoring and managing a diverse loan portfolio, assessing credit challenges, and deploying remedial measures to align with the bank’s risk appetite.
  2. Lead complex negotiations, restructurings, and remediation efforts, conducting financial analyses to address distressed credits, while overseeing lending and security documentation in line with LMA standards.
  3. Mentor and manage a high-performing team across the UK and India, collaborating with credit committees, senior management, and external advisors to deliver strategic credit risk solutions.
  4. Drive process improvements and innovation by refining risk frameworks, advising on new business opportunities, and leading special projects to enhance operational efficiency and risk controls.
  5. Foster strong relationships with borrowing clients, present comprehensive credit risk reports and restructuring proposals, and liaise with external industry contacts to support deal structuring and resolution of credit issues.

Requirements:

  1. Significant experience in credit risk management, portfolio monitoring, and advanced lending within major financial institutions.
  2. Expertise in Commercial Real Estate lending, Speciality Finance, and Fund Finance, with a strong track record in managing distressed credits and leading restructurings.
  3. Professional qualifications in corporate credit analysis or financial modelling, with a robust industry network across banking, private equity, and real estate.
  4. Proven ability to drive efficient loan portfolio management, meet tight deadlines, and innovate risk strategies while fostering a collaborative, high-performance culture.
  5. Strong leadership, communication, and negotiation skills, with deep technical knowledge of credit appraisal, financial analysis, and complex lending structures.
  6. Exceptional analytical skills and a proactive approach to process improvement and risk monitoring.

Benefits & Perks:

  1. Equity. We want people to have a stake in the business so that all our interests are aligned.
  2. 25 days holiday
  3. Personalized benefits – opt-in to what matters to you
  4. Subsidised Private Medical Insurance with Bupa
  5. Enhanced maternity and paternity leave
  6. Wellbeing and social events
  7. In-house Barista Bar in London office
  8. Support causes that matter to you – Volunteering time off
  9. Salary sacrifice schemes (Cycle to work, nursery, gym, electric car scheme)

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Director, Portfolio Monitoring employer: OakNorth

Join a dynamic and innovative bank that has made a significant impact since its inception in 2015, lending over £10bn to ambitious entrepreneurs across the UK. As a Director of Portfolio Monitoring, you will thrive in a fast-paced environment that values self-starters and bold thinkers, offering personalized benefits, equity stakes, and opportunities for professional growth. With a strong focus on employee well-being and a collaborative culture, this role not only allows you to lead a high-performing team but also empowers you to make meaningful contributions to the success of trailblazing businesses.
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Contact Detail:

OakNorth Recruiting Team

StudySmarter Expert Advice 🤫

We think this is how you could land Director, Portfolio Monitoring

Tip Number 1

Make sure to showcase your leadership skills during the interview process. Highlight any experience you have in mentoring teams and driving strategic initiatives, as this role requires strong leadership capabilities.

Tip Number 2

Prepare to discuss your experience with distressed credits and restructurings in detail. Be ready to provide specific examples of how you've successfully managed these situations in the past, as this is a key responsibility of the role.

Tip Number 3

Familiarize yourself with the latest trends and challenges in Commercial Real Estate, Speciality Finance, and Fund Finance. Being knowledgeable about current market conditions will demonstrate your expertise and readiness for the role.

Tip Number 4

Network with professionals in the banking and finance sectors, especially those involved in credit risk management. Building relationships can provide valuable insights and potentially lead to referrals that could strengthen your application.

We think you need these skills to ace Director, Portfolio Monitoring

Credit Risk Management
Portfolio Monitoring
Commercial Real Estate Expertise
Speciality Finance Knowledge
Fund Finance Acumen
Financial Analysis
Restructuring Skills
Negotiation Skills
Leadership and Team Management
Process Improvement
Risk Framework Development
Client Relationship Management
Communication Skills
Analytical Skills
Problem-Solving Skills

Some tips for your application 🫡

Tailor Your CV: Make sure your CV highlights your significant experience in credit risk management and portfolio monitoring. Emphasize your expertise in Commercial Real Estate, Speciality Finance, and Fund Finance, as well as any relevant professional qualifications.

Craft a Compelling Cover Letter: Write a cover letter that showcases your leadership skills and your proactive approach to managing diverse loan portfolios. Mention specific examples of how you've driven process improvements and managed distressed credits in previous roles.

Highlight Analytical Skills: In your application, emphasize your exceptional analytical skills and your ability to conduct financial analyses. Provide examples of how you've used these skills to address credit challenges and implement risk strategies.

Showcase Your Network: Mention your robust industry network across banking, private equity, and real estate in your application. This can demonstrate your ability to foster strong relationships with clients and external contacts, which is crucial for the role.

How to prepare for a job interview at OakNorth

Showcase Your Leadership Skills

As a Director of Portfolio Monitoring, you'll need to demonstrate strong leadership abilities. Be prepared to discuss your experience in mentoring teams and leading complex negotiations. Share specific examples of how you've successfully managed distressed credits and driven process improvements.

Highlight Your Industry Expertise

Make sure to emphasize your background in Commercial Real Estate, Speciality Finance, and Fund Finance. Discuss any relevant professional qualifications you hold and how they have equipped you to handle credit risk management effectively.

Prepare for Technical Questions

Expect to face technical questions related to credit appraisal, financial analysis, and complex lending structures. Brush up on these topics and be ready to provide detailed insights into your analytical approach and decision-making processes.

Demonstrate Your Proactive Approach

The role requires a proactive mindset towards process improvement and risk monitoring. Prepare to share examples of how you've identified risks and implemented innovative solutions in previous roles, showcasing your ability to drive strategic portfolio management.

Director, Portfolio Monitoring
OakNorth
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