Ivo Bonev
Vice President, Portfolio Management & Risk Distribution, International Banking Group at U.S. Bank
- Role
- Vice President, Portfolio Management & Risk Distribution, International Banking Group at U.S. Bank
- Location
- Cleveland, OH, US
- LinkedIn followers
- 500 followers
About Ivo Bonev
Seasoned international banking executive with a respected record of achievements. Senior leadership in business development and the application of holistic credit risk management techniques that enhance the performance of a diverse range of banking products and financial services.Adept in analyzing and approving developed and emerging markets bank facilities, sovereign limits, capital markets and trade finance transactions across Asia Pacific, Europe, Middle East & Africa, Latin America and the US.Demonstrated expertise in financial analysis and credit risk management of complex transactional arrangements across multiple products, services and business lines. More than a decade of recent experience vetting the structuring and approval of credit limits for large and medium size international and domestic banks, broker-dealers, investment advisors, fund managers, leasing companies, supranationals, sovereigns, insurance companies and other counterparties.A trusted advisor to both internal business partners and to SME and Fortune 500 customers; well regarded for providing customized, high impact solutions that consistently meet or exceed their trade and finance requirements.Practiced in the management of correspondent banking relationships and in the mitigation of sovereign and counterparty credit risk.Specialties: Credit Risk Management & Reporting, Capital Markets Counterparty Risk, Financial, Industry & Sector Analysis, Credit Portfolio Management, Trade Finance Risk, Transactional Compliance & Operational Risk Controls, Financial Institutions Risk, Credit Policy Development, Global Economy & Business Practices, Sovereign Risk Analysis & Limit Management, Emerging Markets Risk Mitigation Techniques & Strategies, Export Credit Agency Finance, Business Development & Collaboration, Team Building & Development
Experience
Vice President, Portfolio Management & Risk Distribution, International Banking Group
Jul 2016 — Present · Cleveland/Akron, OH, US
Global responsibility for Trade Finance Risk Distribution through all distribution channels: Export Credit Agencies, Trade Credit Insurance, Correspondent Banks and Multilateral Development Banks. Implement de-risking tools in order to enhance the bank\'s distribution capacity, support risk management, develop a strategic approach to exposure management and improve relationships with bank and insurance investors while maximizing the ROA. Establish a framework of procedures and processes to manage operational risk and internal/external compliance. Collaborate with brokers, insurers, legal counsels, product managers and deal teams.
Education
University of Economics, Varna (Ikonomièeski universitet)
MS, Economics and Industrial Management
University of Economics, Varna (Ikonomièeski universitet)
Doctoral Studies, International Economics
The University of Toledo
Master of Business Administration (MBA), International Business
Skills
- Treasury Management
- Banking
- Fixed Income
- Risk Management
- Cash Management
- Credit Analysis
- Commercial Banking
- Structured Finance
- Commercial Lending
- Business Relationship Management
- Trade Finance
- Derivatives
- Credit
- Portfolio Management
- Loans
- Financial Services
- Relationship Management
- Capital Markets
- International Trade
- Credit Risk
- Financial Risk
- Investment Banking
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