What are the responsibilities and job description for the Sr. Vice President - Commercial Asset Resolution Manager position at Commercial Asset Resolution Manager - World Business Lenders, LLC?
About World Business Lenders (www.wbl.com)
World Business Lenders provides general purpose short-term real estate collateralized commercial loans to a broad customer base comprised of small and medium sized businesses throughout the country that lack access to traditional funding. WBL services its loan portfolio and loan portfolios for third parties, specializing in the management of non-performing loan pools and REO.
About the Position:
In a fast paced, high expectation, results oriented environment, the Asset Resolution Manager is responsible for (i) managing a large portfolio of non-performing real estate collateralized commercial loans, and REO, (ii) supervising Asset Resolution/Collections/REO Department staff, (iii) analyzing loan, borrower and guarantor, as well as jurisdiction characteristics, (iv) consulting with local counsel to develop recovery strategies and (v) achieving optimal resolutions. Candidates should be adept at working with a large portfolio of assets, highly familiar with legal pleadings and proceedings and comfortable with financial analysis, with demonstrated leadership and mentoring acumen.
Essential Functions:
- Manage and monitor a non-performing real estate collateralized commercial loan portfolio, including REO
- Conduct proactive and effective portfolio management in accordance with established performance standards
- Prepare annual collection budget
- Hire, supervise, train and develop Asset Resolution/Collections/REO Department staff
- Case assignment and workload balancing among staff
- Review/develop collection strategy recommendations
- Oversee collection process
- Reviewed pleadings
- Manage case settlement process; propose offers/counteroffers
- Oversee management of REO portfolio
- Monitor and approve timely payment of REO related expenses (taxes, maintenance, utilities, fees, etc.)
- Approve listing agreements and monitor broker performance
- Manage sale process; propose offers/counteroffers/bidding instructions
- Perform extensive quarterly review of all defaulted assets to confirm or reassess recovery estimate and report any factors projected to impact P&L/Balance Sheet
- Perform advanced statistical analysis of portfolio default trends and a comparative analysis of the static pool v. dynamic pool progression
- Other projects or duties as assigned