Take ownership of critical capital operations processes in a dynamic environment. Drive efficiency and scalability through innovative workflow automation and tool enhancements. Collaborate with senior leadership in a high-growth setting.
Private Credit Operations Associate
in Financial Services PermanentJob Detail
Job Description
Overview
- Serve as the primary operator for portfolio syndication and warehouse facility management, ensuring seamless execution of daily allocation cycles.
- Collaborate with underwriting and closing teams to maintain data integrity and compliance with facility requirements.
- Execute SQL queries and utilize BI tools to identify deal flow and optimize balance sheet velocity.
- Prepare and submit Borrowing Base certificates and reporting packages for financing partners and warehouse providers.
- Perform reconciliations to ensure accurate execution of deal cash flows and participation splits.
- Lead workflow automation and tool enhancements to improve efficiency and scalability.
- Maintain rigorous audit trails to facilitate third-party reviews and ensure compliance.
- Work independently with minimal supervision while keeping senior leadership informed of potential bottlenecks.
Key Responsibilities & Duties
- Run SQL queries and dashboard downloads to identify deal flow and available capacity.
- Execute allocation tools to pledge deals to various facilities, ensuring optimal balance sheet velocity.
- Check deal criteria against facility requirements using internal and Excel-based systems.
- Prepare and submit Borrowing Base certificates and reporting packages for financing partners.
- Perform daily and weekly reconciliations to ensure accurate execution of cash flows and participation splits.
- Audit and refine reporting and allocation tools to improve efficiency and data integrity.
- Develop workflow automations and tool enhancements to align systems with capital markets requirements.
- Maintain audit trails of allocation decisions and facility movements for seamless reviews.
Job Requirements
- Bachelor’s degree in Finance, Accounting, Economics, or a related technical field.
- 3–5 years of experience in middle-office operations, trade support, or fund administration.
- Proficiency in SQL and advanced Excel; experience with BI tools or Python is preferred.
- Ability to interpret credit agreements and translate eligibility criteria into functional allocation logic.
- Strong attention to detail and ability to resolve discrepancies effectively.
- Operational stamina to handle time-sensitive execution and independent workflow management.
- Capability to work in a fast-paced environment with minimal supervision.
- Commitment to accuracy and execution impacting firm liquidity and scalability.
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