Key Responsibilities
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- Develop bespoke financial models and perform data/investment analysis for potential investment opportunities in ABS, MBS, and CLOs.
- Conduct collateral and structural analysis across multiple asset classes.
- Monitor performance of existing positions and public markets.
- Collate and distill large sets of disparate data into actionable insights for the investment team.
- Participate in portfolio company monitoring and post-closing events.
- Perform financial analysis and relative value analysis for potential investments.
- Assist in the preparation of investment memoranda.
- Coordinate with internal functional groups including Asset Management, Treasury, and Operations.
- Contribute to improving processes, reducing risks, and increasing controls.
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Qualifications Required
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- The ideal candidate must be intellectually curious, have a strong work ethic, and be technically proficient.
- Must have the ability to thrive in a dynamic and entrepreneurial environment and maintain the utmost level of personal integrity.
- Post-graduate degree in finance from a Tier-1 institution is a must.
- Minimum 3 years of experience in the finance sector with exposure to credit investments. Knowledge of Structured Products including ABS/CLO/MBS is a plus.
- Proficiency in Excel is required. Ability to write macros/computer programming is a plus.
- Excellent written and verbal communication abilities are essential for this role.