If you have a solid background in quantitative disciplines and a passion for structured finance, this opportunity could be the perfect fit for you.
Key Responsibilities:
- Investment Analysis: Conduct in-depth evaluations of mezzanine and leveraged finance opportunities, including credit assessments, risk evaluations, and scenario modeling.
- Financial Structuring: Design and execute innovative funding solutions that align with client and fund objectives.
- Portfolio Management: Monitor and manage fund performance, ensuring optimal returns while mitigating risks.
- Market Research: Analyze trends in the leveraged finance and mezzanine market to identify emerging opportunities.
- Stakeholder Engagement: Collaborate with investors, senior leadership, and deal teams to deliver insights and drive strategic outcomes.
Qualifications:
- Bachelor's degree in Mathematics, Statistics, or a related quantitative field.
- A minimum of 3 years of experience in mezzanine or leveraged finance.
- Strong proficiency in financial modeling, credit analysis, and structured finance tools.
- Analytical mindset with a keen ability to interpret data and provide actionable insights.
- Exceptional communication and interpersonal skills to navigate complex stakeholder relationships.
If you are interested in this opportunity, please apply directly.
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