Portfolio Monitoring Officer
Main mission
Ensure the application of credit risk management procedures
in the context of monitoring commitments, assessing portfolio quality and pre-litigation recovery
Activities
Ensure the implementation of the concentration monitoring process by counterparty or group of related counterparties;
• Ensure the monitoring of the sectoral diversification of the credit portfolio;
Ensure the quarterly review of major credit risks:
Ensure the monthly review of the commitments portfolio;
Ensure the monitoring of line renewals;
Develop innovative and prospective approaches in terms of risk management:
• Carry out portfolio vulnerability tests;
Ensure the effectiveness of the implementation of the Commitments Department stress tests;
• Monitor visits and the formalization of reports on committed customers:
Ensure the downgrading of doubtful commitments;
Organize, lead and manage administrative correspondence with various organizations (BEAC, COBAC, CNEF, project owners, etc.) in connection with maintaining the credit portfolio;
• Lead pre-litigation activities.
Desired experience
• Minimum one to two years of professional experience as a financial analyst, credit analyst, financial lawyer or portfolio monitoring officer.
Prerequisites
Bac +3/4 in Economics, Banking and Finance, Applied Mathematics, Statistics, Banking Law
ITB, BBS banking training or equivalent would be an asset.
Desired qualities
Good knowledge of financial and banking regulations and security law:
Have a spirit of synthesis, autonomy and interpersonal skills;
• Have an efficient organization and a sense of results:
• Have team spirit:
. Mastery of Amplitude software is essential

Send your applications to: recrutement.bgfibankcameroun@bgfi.com
Deadline: 08/08/2025
