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Portfolio Analyst

Position Summary:

Responsible for thoroughly analyzing and clearly communicating the characteristics of portfolios.  This position will require extensive interface with both the Garnet transaction-management teams and counterparts at client firms for the analysis and compilation of data and the creation of suitable, transaction-specific analytic output.

Primary Responsibilities:

  1. Obtain data from clients, working both with client management and IT staff; identify required data and interface with client to ascertain availability and alternative satisfactory data elements
  2. Review data for inconsistencies, errors and missing critical information
  3. Analyze data, stratifying and highlighting value points
  4. Prepare concise and presentation-ready client and investor reports
  5. Review processes used to improve and enhance results
  6. Create models to produce and/or automate portfolio stratifications and estimate values
  7. Review loan files on-site at client offices

Required Skills and Abilities:

  1. Strong analytical skills
  2. Keen understanding of the meaning and importance of loan terms (examples, LTV, FICO, amortization schedules)
  3. Ability to review work products for errors
  4. Strong written / oral communication skills
  5. Ability to multi-task and work in a busy, fast paced environment

Essential Job Requirements:

  • Education:  Bachelor’s degree
  • Experience:  1+ years of financial analysis
  • Required Skills:  Excel - Power-user; Qlik (BI software) – working knowledge minimum (similar BI software like Tableau may be relevant)
  • Other Skills:  Programming, such as VB or SQL other languages
  • Other:  Occasional travel required

 

Location: United States; Eastern or Central Time Zone preferred

Department: Finance

Title: Full-Time Analyst

Compensation: Salary plus discretionary bonus 

Benefits: Health insurance, life and disability insurance, 401K, flexible spending, and PTO (Paid Time Off)