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Portfolio & Risk Manager at Alan & Grant

Posted on Thu 25th Jun, 2026 - hotnigerianjobs.com --- (0 comments)


Alan & Grant - Our work is focused on creating innovative HR and Organizational Development Solutions aimed at Performance Improvement & Business Growth. We currently serve clients across various sectors of the Economy from locations in Jos, Port Harcourt and Lagos.

We are recruiting to fill the position below:

Job Title: Portfolio & Risk Manager

Location: Abuja
Employment Type: Full-time

Job Summary

  • The Portfolio & Risk Manager will be responsible for overseeing the full lifecycle of the fund's debt and revenue-based financing (RBF) portfolio, combining portfolio monitoring, credit risk management, and enterprise risk oversight within a single function.

Key Responsibilities
Portfolio Monitoring & Portfolio Management:

  • Develop and maintain the fund's portfolio monitoring framework covering financial, operational, ESG, impact, and governance indicators across all investee companies.
  • Monitor portfolio performance from disbursement through repayment, ensuring timely identification of risks and opportunities.
  • Track covenant compliance, repayment schedules, arrears, restructurings, and recovery activities across the debt and RBF portfolio.
  • Conduct quarterly portfolio reviews, including management meetings, site visits, covenant testing, and performance assessments.
  • Develop portfolio dashboards and management reports for the Investment Committee, Management Team, LPs, and Board.
  • Maintain portfolio company risk ratings and performance assessments on an ongoing basis.
  • Work closely with portfolio companies to improve financial reporting, governance structures, management information systems, and operational controls.
  • Partner with the Technical Assistance function to design and implement post-investment support programs that enhance portfolio performance.
  • Coordinate workout, restructuring, and recovery initiatives where portfolio companies experience financial stress.
  • Prepare investor reporting packs, impact reports, capital account statements, and portfolio performance updates.

Credit Risk Management:

  • Independently review all proposed debt and revenue-based financing transactions prior to Investment Committee approval.
  • Conduct detailed credit analysis including financial statement reviews, cash flow modelling, stress testing, sensitivity analysis, and debt servicing assessments.
  • Develop and maintain internal credit risk rating methodologies and ensure consistent application across the portfolio.
  • Provide independent risk opinions and recommendations to the Investment Committee.
  • Assess transaction structures, collateral arrangements, covenants, and risk mitigation measures.
  • Monitor sector, country, borrower, and concentration exposures against approved risk limits.
  • Design and oversee portfolio stress-testing exercises to assess resilience under adverse economic scenarios.
  • Develop and maintain provisioning methodologies and Expected Credit Loss (ECL) models in line with IFRS 9 requirements.

Enterprise Risk Management:

  • Lead the development and maintenance of the firm's enterprise risk management framework.
  • Establish and monitor risk appetite statements, concentration limits, sector exposure limits, and country risk thresholds.
  • Maintain the organization's risk register covering credit, operational, compliance, liquidity, FX, legal, and reputational risks.
  • Conduct periodic risk assessments and present risk reports to senior management and the Board.
  • Ensure compliance with applicable regulatory, investor, and governance requirements.
  • Develop early-warning indicators and portfolio surveillance tools to identify emerging risks.
  • Support business continuity planning and operational risk management initiatives.
  • Coordinate with legal counsel, auditors, and external advisors on risk-related matters.

Impact Measurement & Reporting:

  • Monitor impact performance indicators and ESG metrics across the portfolio.
  • Support reporting aligned with recognized frameworks such as IRIS+, 2X Challenge, IMP, and DGGF requirements.
  • Ensure portfolio companies provide accurate and timely impact and ESG data.
  • Integrate impact and sustainability considerations into portfolio monitoring and risk assessment processes.

​Requirements

  • Bachelor's Degree in Finance, Accounting, Economics, Business Administration, or a related field.
  • Professional qualifications such as CFA, FRM, ACA, ACCA, CIPM, or equivalent are strongly preferred.
  • 7–10 years of relevant experience in credit risk management, portfolio monitoring, private credit, SME banking, development finance, impact investing, or fund management.
  • Demonstrated experience monitoring debt portfolios and/or revenue-based financing transactions.
  • Strong credit underwriting and transaction risk assessment experience.
  • Experience designing or managing enterprise risk management frameworks.
  • Working knowledge of IFRS 9, Expected Credit Loss (ECL) methodologies, Basel frameworks, and prudential risk management practices.
  • Experience producing investor, LP, Board, and regulatory reports.
  • Familiarity with impact measurement frameworks such as IRIS+, IMP, 2X Challenge, and ESG reporting standards is advantageous.
  • Experience working within a DFI, private credit fund, impact fund, commercial bank, microfinance institution, or SME lender is highly desirable.
  • Working knowledge of Francophone West Africa markets is advantageous.
  • Proficiency in French is a plus.

Application Closing Date
Not Specified.

How to Apply
Interested and qualified candidates should:
Click here to apply online


  

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