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1 день назад

Associate, Fund Finance Credit Underwriting & Portfolio Management (First Line of Defense) (Fund Finance)

86 250 - 135 000$
Формат работы
onsite
Тип работы
fulltime
Грейд
middle
Английский
b2
Страна
US
Вакансия из списка Hirify.GlobalВакансия из Hirify Global, списка международных tech-компаний
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Описание вакансии

Текст:
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TL;DR
Associate, Fund Finance Credit Underwriting & Portfolio Management (First Line of Defense) (Fund Finance): Underwriting, structuring, executing, and managing fund finance transactions for private capital clients with an accent on credit analysis, financial modeling, risk assessment, and portfolio monitoring. Focus on evaluating borrowing bases, liquidity, collateral quality, covenant compliance, and emerging risks while developing credit recommendations and mentoring junior analysts.

Location: Madison Ave Corp, United States. Applicants must be legally authorized to work in the United States on a full-time basis without requiring employer sponsorship.

Base pay range: $86,250–$135,000 USD annually.

Company

hirify.global is a global financial services organization undergoing a technology-driven transformation.

What you will do

  • Underwrite and structure subscription lines, NAV, hybrid, EBL, and other fund finance transactions, including originations, refinancings, extensions, upsizes, and amendments.
  • Prepare credit approval packages covering borrowing base analysis, liquidity, financial modeling, stress testing, risk ratings, and due diligence.
  • Manage a portfolio of fund finance transactions and perform post-close monitoring, annual reviews, renewals, amendments, waivers, and consents.
  • Assess covenant compliance, collateral quality, investor concentration, sponsor strength, portfolio trends, and emerging credit risks.
  • Present clear, judgment-driven credit recommendations and collaborate with Product, Capital Markets, Legal, Operations, senior management, and Independent Risk.
  • Review analyst work, mentor junior team members, and participate in process improvement, technology, data management, and regulatory initiatives.

Requirements

  • Bachelor’s degree in Finance, Accounting, Economics, Business, Engineering, Mathematics, or a related analytical discipline.
  • 2–6 years of experience in commercial banking, investment banking, leveraged finance, structured finance, fund finance, private credit, corporate banking, or another credit-intensive financial services role.
  • Strong financial statement analysis, credit underwriting, project management, risk assessment, and judgment skills.
  • Advanced Microsoft Excel and financial modeling capabilities.
  • Ability to manage multiple transactions and deadlines while building relationships across Front Office, Risk, Legal, Operations, and senior management.
  • U.S. work authorization without employer sponsorship is required.

Nice to have

  • Exposure to subscription facilities, NAV-based lending, fund-level financing structures, or asset-based lending.
  • Coursework in alternative investments, private equity, real assets, or capital markets.
  • Completion of a bank-certified credit training course.

Culture & Benefits

  • Strong risk culture with proactive responsibility for risk management.
  • Competitive rewards package and benefits supporting employees, families, and well-being.
  • Inclusive and accessible application process with reasonable accommodations available.

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