A large private credit asset manager in New York that was founded in 2015 wants to bring on a Senior Associate (Private Credit). They are considering individuals that have 3-8 years of related experience with Asset Based Finance, ABS portfolio management, or asset based lending. An ideal candidate would come from a buy-side shop or an investment bank.
Ideal characteristics for a candidate would consist of an entrepreneurial mindset, reputable track record, and can work independently. The compensation is extremely competitive and are looking to bring an individual on much sooner than later.
Responsibilities:
- Identify and research investment opportunities through in-depth company research and asset performance analysis in order to design and implement structure and project investment returns
- Performance Analysis: Perform credit and asset performance analysis, including investment pricing and valuation
- Build and Review Models: Develop complex financial models; develop and maintain asset databases
- Conduct detailed company and asset diligence, both on-site and desktop
- Prepare internal investment committee memoranda
- Assist in the review of transaction-related documentation
- Interface with portfolio company counterparties, conduct performance analysis and make recommendations based on critical analysis of data
Qualifications:
- Relevant Experience: 3-7 years of related experience in asset-based credit analysis; a background in investment and/or securitization banking, asset backed finance, ABS portfolio management or asset-based lending. Familiarity with unit economics, payment waterfalls, securitization structures and the ability to analyze a specialty finance company and its assets
- Excellent financial modeling and Excel skills; SQL is a strong preference
- Understanding of accounting and financial reporting, capital structures and balance sheets
- Deep intellectual curiosity and desire to find solutions supported by data
- Strong written and oral communication skills, with ability to express views on risk/reward in an investment context
- A bachelor's degree in finance, economics, engineering, mathematics or a related field from a top tier university
Please apply in if you qualify!