Associate Vice President, Risk Management
About the Company
Dynamic real estate investment trust (REIT)
Industry
Real Estate
Type
Public Company
Founded
1993
Employees
501-1000
Categories
Specialties
About the Role
The Company is seeking an AVP, Risk Management with a focus on Special Servicing of a portfolio of distressed commercial real estate mortgage loans. The successful candidate will be responsible for the proactive asset management and timely resolution of loans in default or at risk of default, in line with the company's risk management objectives. This role involves monitoring the quality and performance of the loan portfolio, structuring and executing resolution strategies, and working closely with the company's special asset management team to ensure the best possible recovery for investors.
Applicants for the AVP, Risk Management position should have a Bachelor's degree in business, finance, real estate, or a related discipline, or equivalent work experience, and a minimum of 5 years' of loan asset management experience, with a strong background in special servicing, bankruptcy, and loan workouts. The role requires a candidate with strong analytical, research, and reporting skills, as well as the ability to negotiate and communicate effectively. Attention to detail, the ability to work independently and as part of a team, and a high level of proficiency in Microsoft Office are essential. The AVP will also be expected to have a good understanding of legal contracts, bankruptcy law, and the foreclosure process, and to be comfortable interpreting legal documents.
Hiring Manager Title
VP / SVP, Risk Management
Travel Percent
25%
Functions
Vice President Risk Management • Atlanta, GA, United States