Relationship Manager, Real Estate Finance Permanent position Financial Services platform, based in the City of London Salary up to £75k plus benefits Hybrid working on offer Role Overview: Our client are seeking a dynamic and commercially astute Relationship Manager with a solid background in commercial real estate financing to join their growing team. This is a pivotal role for someone who thrives on building lasting relationships, navigating complex financing structures, and delivering value-driven solutions. Key Responsibilities: Originate, structure and manage a portfolio of real estate financing clients, with a focus on mid-sized to large commercial investments and development finance. Provide expert guidance on bridging financing, ensuring swift and compliant execution. Maintain and deepen relationships with clients, intermediaries, and professional advisors. Conduct detailed credit assessments, cashflow analysis, and valuation reviews in collaboration with credit and risk teams. Lead negotiations on terms, covenants, and deal structures that align with risk appetite and regulatory requirements. Monitor financing performance, proactively managing maturities, refinancing, and potential recoveries. Identify cross-sell opportunities and contribute to wider business development strategies. Assist the team in assessing and monitoring credit and transaction risk post completion of transactions and conduct site visits as required. Supporting the team in ensuring all required post-completion documentation e.g. buildings insurance, valuations, Conditions Subsequent (CPs), and leases tenancy agreements are actively tracked and kept up to date Co-ordinate financing extension requests as required. Collaborate as part of the Real Estate finance team, with Credit Risk, and Executions teams, as well as external partners, to maintain continuity of knowledge of the customer and conditions associated with the transaction. Required Skills & Experience: 5 years+ experience in commercial real estate financing, with demonstrable deal execution track record Solid understanding of bridging finance - both regulated and unregulated - and its application in short-term financing scenarios A relationship-first mindset, with a natural ability to earn client trust and loyalty Strong knowledge of credit risk principles, financial contract structures, and property-secured financing. Sharp analytical skills with confidence interpreting financial statements, property valuations, and market trends Familiarity with credit and compliance frameworks in the UK financing market Strong communication, negotiation and stakeholder engagement skills, including presenting to senior leadership. Candidates must also have the right to work in the UK. I'm afraid sponsorship isn't offered for this position. Due to the high volume of CVs that we receive, only successful candidates will be contacted. Thank you for your time and patience.
Mar 25, 2026
Full time
Relationship Manager, Real Estate Finance Permanent position Financial Services platform, based in the City of London Salary up to £75k plus benefits Hybrid working on offer Role Overview: Our client are seeking a dynamic and commercially astute Relationship Manager with a solid background in commercial real estate financing to join their growing team. This is a pivotal role for someone who thrives on building lasting relationships, navigating complex financing structures, and delivering value-driven solutions. Key Responsibilities: Originate, structure and manage a portfolio of real estate financing clients, with a focus on mid-sized to large commercial investments and development finance. Provide expert guidance on bridging financing, ensuring swift and compliant execution. Maintain and deepen relationships with clients, intermediaries, and professional advisors. Conduct detailed credit assessments, cashflow analysis, and valuation reviews in collaboration with credit and risk teams. Lead negotiations on terms, covenants, and deal structures that align with risk appetite and regulatory requirements. Monitor financing performance, proactively managing maturities, refinancing, and potential recoveries. Identify cross-sell opportunities and contribute to wider business development strategies. Assist the team in assessing and monitoring credit and transaction risk post completion of transactions and conduct site visits as required. Supporting the team in ensuring all required post-completion documentation e.g. buildings insurance, valuations, Conditions Subsequent (CPs), and leases tenancy agreements are actively tracked and kept up to date Co-ordinate financing extension requests as required. Collaborate as part of the Real Estate finance team, with Credit Risk, and Executions teams, as well as external partners, to maintain continuity of knowledge of the customer and conditions associated with the transaction. Required Skills & Experience: 5 years+ experience in commercial real estate financing, with demonstrable deal execution track record Solid understanding of bridging finance - both regulated and unregulated - and its application in short-term financing scenarios A relationship-first mindset, with a natural ability to earn client trust and loyalty Strong knowledge of credit risk principles, financial contract structures, and property-secured financing. Sharp analytical skills with confidence interpreting financial statements, property valuations, and market trends Familiarity with credit and compliance frameworks in the UK financing market Strong communication, negotiation and stakeholder engagement skills, including presenting to senior leadership. Candidates must also have the right to work in the UK. I'm afraid sponsorship isn't offered for this position. Due to the high volume of CVs that we receive, only successful candidates will be contacted. Thank you for your time and patience.
Senior Manager - Structured Property Finance London International Bank £115,000-£130,000 Are you an experienced structured property finance originator looking to take the lead on complex, high-value real estate transactions within a well-capitalised international bank? We're hiring a Senior Manager, Structured Property Finance to originate, structure, and execute senior debt solutions across residential and commercial property - spanning development, investment, bridging, and tailored lending strategies. The Opportunity You'll play a front-line role in growing the bank's structured property finance portfolio, originating transactions that deliver attractive risk-adjusted returns while operating within a clearly defined Risk Appetite Framework. This is a highly visible role offering autonomy, deal ownership, and long-term career progression. What You'll Be Doing Originate and secure senior structured property finance transactions across development and investment assets Structure bespoke lending solutions including bridging, exit finance, participating debt, and joint-venture style opportunities Lead transactions end-to-end: origination, credit approval, due diligence, negotiation, execution, ongoing management, and redemption Build and manage strong sponsor, borrower, and intermediary relationships throughout the loan lifecycle Negotiate commercial and legal terms aligned with risk and return objectives Oversee credit papers, property analysis, and transaction execution in collaboration with internal and external advisers Contribute to risk policy development, portfolio management, and mitigation strategies for non-performing loans Work closely with Operations and Treasury to ensure robust account control and liquidity management What We're Looking For 5-10+ years' experience in structured real estate or property finance A proven track record of originating and executing transactions Strong technical knowledge across senior debt, bridging, exit finance, and structured lending products Commercially astute, analytically strong, and comfortable making credit decisions Confident negotiator with excellent stakeholder and relationship-management skills Proactive, driven, and motivated to grow within an international banking environment Why Apply? Competitive £115k-£130k base salary + benefits High-quality deal flow and credit autonomy Clear progression within a growing structured property finance platform Collaborative, professional banking culture with strong risk discipline Interested? If you're ready to originate, structure, and lead complex property finance transactions at a senior level, we'd like to hear from you.
Mar 24, 2026
Full time
Senior Manager - Structured Property Finance London International Bank £115,000-£130,000 Are you an experienced structured property finance originator looking to take the lead on complex, high-value real estate transactions within a well-capitalised international bank? We're hiring a Senior Manager, Structured Property Finance to originate, structure, and execute senior debt solutions across residential and commercial property - spanning development, investment, bridging, and tailored lending strategies. The Opportunity You'll play a front-line role in growing the bank's structured property finance portfolio, originating transactions that deliver attractive risk-adjusted returns while operating within a clearly defined Risk Appetite Framework. This is a highly visible role offering autonomy, deal ownership, and long-term career progression. What You'll Be Doing Originate and secure senior structured property finance transactions across development and investment assets Structure bespoke lending solutions including bridging, exit finance, participating debt, and joint-venture style opportunities Lead transactions end-to-end: origination, credit approval, due diligence, negotiation, execution, ongoing management, and redemption Build and manage strong sponsor, borrower, and intermediary relationships throughout the loan lifecycle Negotiate commercial and legal terms aligned with risk and return objectives Oversee credit papers, property analysis, and transaction execution in collaboration with internal and external advisers Contribute to risk policy development, portfolio management, and mitigation strategies for non-performing loans Work closely with Operations and Treasury to ensure robust account control and liquidity management What We're Looking For 5-10+ years' experience in structured real estate or property finance A proven track record of originating and executing transactions Strong technical knowledge across senior debt, bridging, exit finance, and structured lending products Commercially astute, analytically strong, and comfortable making credit decisions Confident negotiator with excellent stakeholder and relationship-management skills Proactive, driven, and motivated to grow within an international banking environment Why Apply? Competitive £115k-£130k base salary + benefits High-quality deal flow and credit autonomy Clear progression within a growing structured property finance platform Collaborative, professional banking culture with strong risk discipline Interested? If you're ready to originate, structure, and lead complex property finance transactions at a senior level, we'd like to hear from you.
Real Estate Finance, Portfolio Risk Manager Financial Services firm based in the City of London Permanent position Hybrid working on offer Role Overview: Our client are seeking a Real Estate Portfolio Risk Manager to support the assessment, monitoring, and reporting of credit exposure across a growing portfolio of property-backed investments. In this role, you will play a key part of the Real Estate Finance team to provide robust risk management ensuring that each transaction is accurately tracked, assessed, and issues escalated, and dealt with promptly. Your insights will be essential in helping the business manage its financing book, make well-informed decisions, identify potential red flags and proactively speaking with customers to obtain the outstanding documents and queries to resolve matters. Key Responsibilities: Oversee the status of live financing transactions, providing real-time tracking and updates across multiple deals, ensuring all ongoing customer obligations are met. Assess and monitor credit and transaction risk post completion of transactions and conduct site visits as required. Prepare detailed risk reports highlighting key exposures, early warning indicators, watchlists, and action points. Ensure all required post-completion documentation e.g. buildings insurance, valuations, Conditions Subsequent (CPs), and leases tenancy agreements are actively tracked and kept up to date, and any other portfolio risk management activities as required. Monitor covenant compliance and ensure internal records are kept up to date. Present findings and risk assessments to internal stakeholders, including senior leadership. Co-ordinate financing extension requests as required. Maintain and improve risk monitoring tools, trackers, and reporting templates. Collaborate as part of the Real Estate finance team, with Credit Risk, and Executions teams, as well as external partners, to maintain continuity of knowledge of the customer and conditions associated with the transaction. Required Skills & Experience: 4+ years of experience in credit risk, underwriting, or financing portfolio risk reporting within financing, fintech, or investment firms. Strong knowledge of credit risk principles, financial contract structures, and property - secured financing. Excellent reporting and analytical skills, particularly with Excel and risk frameworks. Proven ability to identify and escalate risk early, with a proactive approach to resolution. Strong communication and stakeholder management skills, including presenting to senior leadership. Candidates must also have the right to work in the UK. I'm afraid sponsorship isn't offered for this position. Due to the high volume of CVs that we receive, only successful candidates will be contacted. Thank you for your time and patience.
Mar 24, 2026
Full time
Real Estate Finance, Portfolio Risk Manager Financial Services firm based in the City of London Permanent position Hybrid working on offer Role Overview: Our client are seeking a Real Estate Portfolio Risk Manager to support the assessment, monitoring, and reporting of credit exposure across a growing portfolio of property-backed investments. In this role, you will play a key part of the Real Estate Finance team to provide robust risk management ensuring that each transaction is accurately tracked, assessed, and issues escalated, and dealt with promptly. Your insights will be essential in helping the business manage its financing book, make well-informed decisions, identify potential red flags and proactively speaking with customers to obtain the outstanding documents and queries to resolve matters. Key Responsibilities: Oversee the status of live financing transactions, providing real-time tracking and updates across multiple deals, ensuring all ongoing customer obligations are met. Assess and monitor credit and transaction risk post completion of transactions and conduct site visits as required. Prepare detailed risk reports highlighting key exposures, early warning indicators, watchlists, and action points. Ensure all required post-completion documentation e.g. buildings insurance, valuations, Conditions Subsequent (CPs), and leases tenancy agreements are actively tracked and kept up to date, and any other portfolio risk management activities as required. Monitor covenant compliance and ensure internal records are kept up to date. Present findings and risk assessments to internal stakeholders, including senior leadership. Co-ordinate financing extension requests as required. Maintain and improve risk monitoring tools, trackers, and reporting templates. Collaborate as part of the Real Estate finance team, with Credit Risk, and Executions teams, as well as external partners, to maintain continuity of knowledge of the customer and conditions associated with the transaction. Required Skills & Experience: 4+ years of experience in credit risk, underwriting, or financing portfolio risk reporting within financing, fintech, or investment firms. Strong knowledge of credit risk principles, financial contract structures, and property - secured financing. Excellent reporting and analytical skills, particularly with Excel and risk frameworks. Proven ability to identify and escalate risk early, with a proactive approach to resolution. Strong communication and stakeholder management skills, including presenting to senior leadership. Candidates must also have the right to work in the UK. I'm afraid sponsorship isn't offered for this position. Due to the high volume of CVs that we receive, only successful candidates will be contacted. Thank you for your time and patience.
Senior Loans Administrator City of London International Bank Full-Time (Office-Based) Salary: Competitive (TBC) An established international bank in the City of London is seeking an experienced Senior Loans Administrator to join its Banking Operations team. This is a key role supporting the leadership of the Loans Administration function while ensuring the smooth and compliant execution of a broad range of commercial lending products. You will work closely with the Head of Department to oversee daily operational activities, provide leadership within the team, and ensure loan transactions are processed accurately and efficiently in line with internal policies and market standards. Key Responsibilities Team Leadership & Oversight Support the Head of Department in leading the Loans Administration team Assist with recruitment, training, performance appraisals, and career development for team members Authorise departmental work in line with A-signatory authority levels Help manage and oversee the department's day-to-day operational workload Risk, Compliance & Process Governance Ensure strong awareness and adherence to risk and compliance requirements across the team Assist with reviewing and updating departmental procedures, process maps, and PSPs to align with Group standards and policies Loan Operations Maintain a full understanding of core Loans Administration processes, including: Drawdowns Rate fixes and rollovers Fees and transfers Prepayments and cancellations Notices and advices Facility & Product Coverage Review facility documentation and assess operational feasibility in collaboration with internal and external stakeholders across products including: Syndicated participations (Term Loans, RCFs, Borrowing Base financing) Bilateral committed and uncommitted facilities Islamic financing structures Master Participation Agreements Insurance-related facilities Requirements Strong knowledge of loan products and standard market documentation Ability to interpret operational policies, analyse issues, and implement solutions Strong numerical and analytical skills with high attention to detail Minimum 5 years' experience in banking operations , ideally within an international banking environment Experience with commercial lending and loan administration processes Previous team leadership or managerial experience preferred This is an excellent opportunity for a Loans Operations professional looking to step into a senior role within a reputable international banking environment in the City. If you would like to learn more or apply confidentially, please get in touch.
Mar 23, 2026
Full time
Senior Loans Administrator City of London International Bank Full-Time (Office-Based) Salary: Competitive (TBC) An established international bank in the City of London is seeking an experienced Senior Loans Administrator to join its Banking Operations team. This is a key role supporting the leadership of the Loans Administration function while ensuring the smooth and compliant execution of a broad range of commercial lending products. You will work closely with the Head of Department to oversee daily operational activities, provide leadership within the team, and ensure loan transactions are processed accurately and efficiently in line with internal policies and market standards. Key Responsibilities Team Leadership & Oversight Support the Head of Department in leading the Loans Administration team Assist with recruitment, training, performance appraisals, and career development for team members Authorise departmental work in line with A-signatory authority levels Help manage and oversee the department's day-to-day operational workload Risk, Compliance & Process Governance Ensure strong awareness and adherence to risk and compliance requirements across the team Assist with reviewing and updating departmental procedures, process maps, and PSPs to align with Group standards and policies Loan Operations Maintain a full understanding of core Loans Administration processes, including: Drawdowns Rate fixes and rollovers Fees and transfers Prepayments and cancellations Notices and advices Facility & Product Coverage Review facility documentation and assess operational feasibility in collaboration with internal and external stakeholders across products including: Syndicated participations (Term Loans, RCFs, Borrowing Base financing) Bilateral committed and uncommitted facilities Islamic financing structures Master Participation Agreements Insurance-related facilities Requirements Strong knowledge of loan products and standard market documentation Ability to interpret operational policies, analyse issues, and implement solutions Strong numerical and analytical skills with high attention to detail Minimum 5 years' experience in banking operations , ideally within an international banking environment Experience with commercial lending and loan administration processes Previous team leadership or managerial experience preferred This is an excellent opportunity for a Loans Operations professional looking to step into a senior role within a reputable international banking environment in the City. If you would like to learn more or apply confidentially, please get in touch.