Job Description
Job Summary
We are seeking a highly motivated Investment Management Lead Analyst
to join our Asset Based Finance (ABF) team within the Structured
Finance Group. As an integral part of our team, you will gain
exposure to a diverse portfolio of Asset-Backed Securities (ABS)
investments and play a pivotal role in underwriting, monitoring, and
managing these deals for our institutional clients.
Responsibilities:
•
Deal Management:
Collaborate closely with ABF Deal Analysts to assist in investment
management and monitoring activities for structured finance deals.
•
IC Memos:
Support the deal team in updating Investment Committee approval
memos, ensuring a comprehensive understanding of each deal's
intricacies.
•
Term sheets:
Analyze closing documents such as credit agreements, indentures and
note purchase agreements and set up processes for analyzing and
monitoring the deal post-closing.
•
Due Diligence:
Perform pre-deal due diligence and stratify the collateral pool
using Python to assess risk and investment potential.
•
Surveillance and Reporting:
Update surveillance data and create one-pagers for presentations to
senior management for both Public and Private deals.
•
Cashflow Modeling:
Develop and update cashflow models for structured finance deals.
Monitor key metrics to assess risk and expected returns. Conduct
stress case scenarios and analyze their impact on repayments.
•
Collateral Analysis:
Create and update asset-level one-pagers for collateral analysis,
assisting in underwriting and post-deal monitoring.
•
Asset Valuation:
Track and review revaluation events for underlying assets, ensuring
accurate pricing of collateral.
•
Sector-Level Analysis:
Update monthly sector-level presentations and pro-actively highlight
potential issues to senior management.
•
Covenant Monitoring:
Continuously monitor covenants and key performance indicators (KPIs)
at the deal level, thereby assist the Business Analytics team to run
portfolio-level analysis.
•
Ad Hoc Projects:
Undertake multiple ad hoc projects as requested by senior management
to assess the impact of macro events.
•
Client request/ Compliances:
Ensure compliance with investor requirements from an investment
management perspective.
•
Data and Tools:
Leverage advanced tools such as Intex and Python for in-depth
analysis. Utilize Tableau, Street Diligence and Sigma for enhanced
data visualization.
Skills Required:
•
MBA in Finance, CFA, or CA qualification.
•
Experience in analyzing Asset Backed Finance deal structures and
collateral is a plus.
•
Strong analytical and quantitative skills.
•
Proficiency in Microsoft Office tools (MS Excel, MS PowerPoint, and
MS Word).
•
Ability to summarize complex information succinctly and efficiently.
•
Excellent written and verbal communication skills.
•
Ability to manage multiple projects in a fast-paced environment.
•
Detail-oriented with a commitment to accuracy and precision.
•
Ability to work independently and collaboratively while
demonstrating high sense of ownership and accountability.
•
Thorough understanding of basic financial concepts and the ability
to critically implement them.
Apply through whichever channel suits you best.