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Senior Credit Analyst - Credit Portfolio Management – Real Assets and Infrastructure
Societe Generale
Publiée le
07/07/2026
Contrat
CDI · Inconnue
Localisation
Montréal, Canada
Taille équipe
15-50 emp.
Rémunération
Inconnue
Missions clés
Assistere le management dans la gestion de portefeuille de projets
Profil recherché
Communication · Esprit d'analyse
Outils & compétences
Rigueur, Organisation
Le poste en détail
About the opportunity:
The Real Assets and Infrastructure (“RAI”) group within Credit Portfolio Management (CPM) AMER is seeking a Senior Credit Analyst (Vice President) to be based in Société Générale’s Montreal office.
The role is responsible for the ongoing credit portfolio management of complex project finance transactions across The Americas, covering Energy (Power, Renewables, Midstream & Downstream O/G, Energy Transition), and Metals & Mining assets.
The position focuses on post‑closing credit risk management, including transaction monitoring, review and processing of amendments and waivers, annual portfolio reviews, and close interaction with internal stakeholders across Origination (Business Lines), Risk, and Legal (among other departments).
About Credit Portfolio Management (CPM) at Société Générale:
Credit Portfolio Management (CPM) is a specialized function within Société Générale’s Global Banking and Advisory (GLBA) division. CPM oversees the bank’s credit portfolios, focusing on credit risk monitoring, portfolio optimization, and capital efficiency across a wide range of asset classes and sectors.
Within CPM, the Real Assets and Infrastructure (RAI) group plays a critical role in managing credit exposures related to large‑scale energy, metals & mining, and infrastructure projects. RAI is responsible for monitoring the performance and risk profile of complex project finance transactions throughout their lifecycle—from construction through ongoing operations. By leveraging sector expertise and applying rigorous portfolio management practices, RAI supports the successful execution of major projects while safeguarding the bank’s interests and optimizing its capital allocation.
What will you do?
As a Senior Credit Analyst in the CPM RAI team, you will be responsible for the independent management and credit oversight of an assigned project finance portfolio across Energy (renewables, battery storage, midstream & downstream oil/gas assets, and energy transition) and Metals & Mining assets, covering the full post‑closing lifecycle, including:
Ongoing Credit Monitoring:
Monitor counterparties and underlying projects, including construction progress, operational and financial performance, and covenant compliance
Identify early warning signals and contribute to Watch List designation and provisioning assessments for challenged transactions
Participate, where required, in the management of stressed or underperforming credits
Periodic Credit Reviews & Risk Assessment:
Prepare annual credit reviews, including financial analysis, cash flow model review, rating assessment, and forward‑looking risk evaluation
Assess debt service coverage, liquidity, structural protections, and overall credit quality
Prepare quarterly reporting for underperforming assets
Assess and propose internal classifications and obligor ratings
Review and process amendment, waiver, and consent requests, including analysis of proposed project and documentation changes, assessment of credit risk implications, and preparation of internal credit memoranda with recommendations
Participate in the onboarding of tax equity counterparties, including credit assessment and review of transaction documentation
Manage term conversions of project finance transactions, including review of the post‑conversion credit profile, repayment of tax credit transfer and tax equity bridge loans, related documentation changes, and ongoing monitoring considerations.
Coordinate internal approval processes with Risk Management and Origination/Business Lines
Portfolio Governance & Reporting:
Prepare quarterly portfolio reviews, including Watch List reporting and risk commentary
Contribute to portfolio dashboards and exposure analyses by sector, region, and risk rating
Support regulatory reporting (including Shared National Credit) and internal/external audits
Assist in internal and external audits and examinations of portfolios from a credit risk standpoint
Support secondary sales and other portfolio risk‑transfer transactions involving project finance assets
Provide ad-hoc support for requests from senior team members, including preparing portfolio insights and deal-specific information
Stakeholder Engagement
Engage with borrowers and agents, as appropriate, on post‑closing matters including information requests, covenant compliance, and transaction‑related discussions.
Work closely with Origination, Risk, Legal, Middle Office, and Asset Recovery teams
What you will gain:
Exposure to complex, large‑scale project finance transactions across the Americas
Opportunity to further develop expertise in Energy transition and Metals & Mining.
Hands‑on experience within a global banking platform with cross‑functional collaboration
Enhanced analytical, judgment, and portfolio management skills at a senior credit level
Opportunity to work with AI-driven tools adopted to enhance efficiency, analysis, and decision-making in credit portfolio management