Job Description
Key Responsibilities:
- Support investment management and ongoing monitoring of structured finance transactions.
- Review transaction documentation and establish analytical processes post-closing.
- Conduct pre-deal diligence, collateral stratification and risk assessment.
- Maintain surveillance data, dashboards, and presentations for senior leadership.
- Build and refine cashflow models, run stress tests, and track performance indicators.
- Prepare asset-level collateral analyses, covenant monitoring updates and valuation reviews.
- Support portfolio-level analysis and contribute insights on emerging sector risks.
- Assist with investor reporting, compliance requirements, and ad-hoc analytical projects.
- Utilize tools such as Python, Intex, Tableau, and other data platforms to drive insights.
Key Requirements
- At least 6–8 years of experience in structured finance, securitization, ABS/CMBS/RMBS or investment analytics.
- Strong financial modelling, cash flow analysis and data interpretation skills.
- Proficient in Excel and presentation tools; exposure to Python or analytical platforms is an advantage.
- MBA, CFA or CA preferred.
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