Credit Officer Project Finance, Infrastructure & Commodity Finance

Madison-Davis

  • New York, NY
  • 30+ days ago
  • $122,000–$240,000 Per Year

Highlights

This is a senior Credit Officer opportunity within the Risk Management function of a leading global investment bank, sitting within the Real Assets team with coverage spanning Project Finance (Renewables, Data Centers, Infrastructure) and Trade & Sustainable Commodity Finance. It's an ideal fit for a seasoned project finance and commodity finance credit professional who combines deep sector expertise with strong analytical judgment and a collaborative, solutions-oriented approach to risk management.

Numbers & Facts

LocationNew York, NY
Salary$122,000–$240,000 Per Year

Description


Title: Credit Officer Project Finance, Infrastructure & Commodity Finance

Office Status: Hybrid New York, NY

Base Salary: $122k - $240k + Bonus

ABOUT THE ROLE

This is a senior Credit Officer opportunity within the Risk Management function of a leading global investment bank, sitting within the Real Assets team with coverage spanning Project Finance (Renewables, Data Centers, Infrastructure) and Trade & Sustainable Commodity Finance. The role carries genuine credit authority providing independent approval or recommendation on complex structured transactions while contributing to credit policy, risk appetite frameworks, and ongoing portfolio oversight. It's an ideal fit for a seasoned project finance and commodity finance credit professional who combines deep sector expertise with strong analytical judgment and a collaborative, solutions-oriented approach to risk management.

RESPONSIBILITIES
  • Conduct independent credit assessments of Project Finance transactions including Renewables, Data Centers, and Infrastructure, as well as Trade & Sustainable Commodity Finance facilities
  • Provide detailed obligor analysis including historical performance review, key risk factor identification, and approval or recommendation documentation for final credit decisions
  • Validate Obligor Risk Ratings, Basel 4 parameters (LGDs), and other key financial metrics
  • Perform ongoing monitoring of portfolio credit quality including quarterly portfolio reviews, early detection of deteriorating credits, and active participation in watch list review processes
  • Track credit and market trends across bank and bond markets relevant to the project finance and commodity finance sectors
  • Assist the Portfolio Management and Governance team in preparing reporting for senior risk management and regulators
  • Contribute to the development and refinement of the bank's credit policy guidelines and overall risk appetite framework
  • Participate in setting global risk appetite for financing initiatives and assess new business initiatives including white papers, New Product Committees, and business rule development

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