Advance your career in portfolio analytics and structured finance. Collaborate with diverse teams in a hybrid work environment. Drive impactful asset management strategies and optimize operational efficiencies.
Portfolio Analytics Associate
in Financial Services PermanentJob Detail
Job Description
Overview
- Drive portfolio analytics and asset management strategies within a dynamic financial services environment, contributing to structured credit investments and operational excellence.
- Collaborate with cross-functional teams to optimize asset performance, ensure compliance, and enhance reporting workflows.
- Analyze diverse asset classes, cash flows, and risk factors to inform strategic investment decisions and maximize returns.
- Support asset onboarding, diligence coordination, and transaction funding while driving operational improvements and scalability.
- Develop and maintain robust data integrity and reporting systems, ensuring accuracy and timely delivery.
- Contribute to risk assessment frameworks and advisory ratings for structured product investments.
- Enhance processes and systems to streamline asset management operations and improve scalability.
- Participate in strategic initiatives to advance portfolio analytics capabilities and drive innovation.
Key Responsibilities & Duties
- Coordinate transaction execution and compliance across investment teams, lenders, servicers, and trustees.
- Monitor and analyze asset performance, cash movements, and reporting deliverables with precision and attention to detail.
- Execute workflows across diverse asset classes, ensuring operational control and data integrity.
- Support deal onboarding, transaction funding coordination, and asset management processes.
- Collaborate with external stakeholders to review performance and identify opportunities for value enhancement.
- Manage lender reporting, loan covenant monitoring, and compliance with credit agreements.
- Analyze collateral data, deal structures, and performance metrics to assess risks and develop internal ratings.
- Contribute to the development of risk frameworks and scorecards for evaluating structured product investments.
Job Requirements
- Bachelor of Science (BS) degree required; CPA/CFA designation or MBA preferred.
- Minimum of 3 years of experience in asset-backed finance; 6 years preferred.
- Advanced proficiency in Excel and strong analytical and financial skills essential.
- Proven ability to manage multiple tasks, prioritize effectively, and maintain meticulous attention to detail.
- Excellent communication skills with the ability to collaborate across teams and stakeholders.
- Demonstrated intellectual curiosity and motivation with a keen interest in financial markets.
- Experience with structured credit investments and risk assessment frameworks preferred.
- Adaptability to dynamic environments and ability to learn quickly and operate in ambiguity.
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