4 дня назад
Associate, Portfolio Management - Corporate Finance
130 000 - 175 000$
Мэтч & Сопровод
Для мэтча с этой вакансией нужен Plus
Описание вакансии
Текст:
TL;DR
Associate, Portfolio Management - Corporate Finance (Corporate Finance/Leveraged Finance): Managing a multi-billion-dollar corporate and leveraged finance portfolio with an accent on credit analysis, financial modeling, loan monitoring, and deal execution. Focus on evaluating sub-investment-grade borrowers, preparing credit approval materials, processing amendments and waivers, and coordinating with origination, risk, compliance, and loan operations teams.
Location: New York, United States; hybrid work model with in-office and work-from-home flexibility
Salary: $130,000–$175,000 per year
Company
’s Wholesale Bank division provides financial products and services to corporate and institutional clients through its Americas business.
What you will do
- Support senior bankers in manag a large portfolio of pro rata and senior secured loans, primarily for sub-investment-grade clients.
- Prepare borrower analytics, financial updates, three-statement models, credit approval packages, market comparables, and quarterly report.
- Monitor credit performance for assigned accounts, process amendment requests, maintain collateral files, and identify opportunities with exist clients.
- Handle internal system process and gather and process KYC/CDD data.
- Review legal documentation and support the clos and fund of waivers, amendments, and upsized commitments.
- Collaborate with Origination, Risk Management, Compliance, and Loan Operations.
Requirements
- Bachelor’s degree in Economics, Finance, Account, or Mathematics with excellent academic results.
- 3+ years of experience in corporate lend, leveraged lend, or loan portfolio management.
- Experience work for a US-regulated bank and familiarity with Fed and OCC requirements.
- Formal credit train and a solid understand of cash flow financ transactions, account statements, and principles.
- Corporate finance and financial markets experience, with an understand of debt structur and recommendation-mak.
- Basic legal documentation knowledge and strong Excel three-statement financial model skills.
Nice to have
- Advanced degree or CFA qualification.
Culture & Benefits
- Hybrid work model with office and work-from-home flexibility vary by business area.
- Health benefits, a 401(k) savs plan, and paid time off.
- Adoption, surrogacy, and fertility services.
- Student debt assistance and subsidies for commut and fitness expenses.
- Supportive environment with autonomy and opportunities to work across a global network.
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