• Develop financial models, perform data / investment analysis, and monitor performance of publicly traded securities including Asset Backed Securities
• Collate and distill large sets of disparate data into actionable insights for the investment team
• Participate in portfolio company monitoring and assume post-closing responsibilities
• Perform relative value analysis of publicly traded securities
• Assist in the preparation of investment memoranda
• Coordinate with internal groups including Asset Management, Treasury and Operations
Requirements
• The ideal candidate must have good communication skills, be intellectually curious, have strong work ethic and be technically proficient
• must have the ability to thrive in a dynamic and entrepreneurial environment and have the utmost level of personal integrity.
• Undergraduate degree and MBA from a tier-1 college and superior academic performance
• Minimum 2 years of experience in the finance sector (credit knowledge is a plus)
• Must be proficient in Excel. Ability to write macros / computer programming is a plus