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The Asset Management team is responsible for data management, risk management, enhancing the ability to analyze trends, apply insights across portfolios (existing and new), automate operational systems, and support continued growth.
Job Responsibility:
Ongoing surveillance and risk management of investments
Leveraging internal and external data to create best-in-class reporting
Investigate and provide detailed responses to ad hoc management reporting requests
Identify and analyze general market and specific portfolio trends to inform risk management decisions
Work with FP&A and management to create and maintain risk adjusted returns framework, including loss forecasting and portfolio analytics
Interface and coordinate with internal and external stakeholders
Requirements:
2+ years Credit Analysis, Credit Risk or Structured Finance experience at an Investment/Lending firm, Ratings Agency or Bank
Must have knowledge of Asset Backed Financing, ABS or Structured Credit
Strong Financial Modeling/Excel skills
Bachelor or Master Degree in Finance related subject