Loan Manager Bridging and Buy to Let Finance London £55,000 pa Overview of the role: Ensure all files are compliant and are satisfied with the file on receipt of COT Ensure all reports are kept up to date and any outstanding actions are completed Manage and control the redemption process including default clients Support on maintaining internal investors Deliver completion statements and fund agreements Key responsibilities: Audit new loan files Check and approve legal documents sent from solicitors Check land registry titles provided for prior restrictions and charges Ensure Loans are Eligible and fits eligibility criteria Using compliance checking tools such as Experian, GBG, SmartSearch and Lexus Diligence for KYC processes to ensure MFS customer is suitable to be given a loan Managing cases after they have been passed from underwriting and ensure that we have all required documentation prior to funds being released Discussing cases and Audit reports with Underwriters to ensure they are aware of the points reported on the Audit and satisfied prior to loan completion Internal compliance list. Complete deal sheet. Check and prepare COT Advise Solicitors of monies transferred for drawdown. Ensure loans are fully complaint during the loan’s life cycle Ensure the full collections, redemptions and default loans policy is meet on all loans as per the policies’ Ownership of redemption, bridge loans, starting three months before loan completion