Lead financial and risk oversight for a corporate lending portfolio ranging from €50k to €400m exposures, acting as a key decision partner to senior management. Responsible for credit risk governance, portfolio performance monitoring, and escalation of material financial and risk issues. Provide forward-looking financial and risk insights to support strategic decisions, including credit risk and concentration risk. Manage and coach a team of financial specialists, ensuring consistent application of credit policies, regulatory requirements, and risk appetite. Act as senior stakeholder interface between commercial teams, risk, legal, compliance, and external regulators (including ECB-related processes). Translate complex financial and risk analyses into clear recommendations for decision-making bodies.