Portfolio Monitoring Support Analyst

0 years

0 Lacs

Posted:2 days ago| Platform: Linkedin logo

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Work Mode

On-site

Job Type

Full Time

Job Description

Our esteemed buy-side client is currently looking for a highly skilled and experienced analyst to join their Portfolio Support team, specializing in financial modeling of private companies. The ideal candidate will play a critical role in portfolio monitoring & surveillance and providing valuable insights. The successful candidate should have been experienced in financial modeling, reconciliation and basic credit and accounting concepts

Key Responsibilities:

  • Monitor financial performance and key performance indicators of portfolio companies
  • Gathering business, financial data on borrower companies on a regular basis for consumption by investment team
  • Presentation and write-ups support for investment team for internal and external meetings
  • Financial reporting on portfolio companies on an ongoing basis
  • Research supports on an ad hoc basis in supporting investment team needs in securing new business e.g. market studies and research, market trends,
  • Development of standardized info pack for each investment in the portfolio. Monthly management reporting and variance analysis
  • Financial analysis, financial modelling, credit scoring assistance to investment team including scenario Analysis
  • Development and maintenance of valuation models for all investments
  • Monitor financial performance and key performance indicators of portfolio companies
  • News and information search support for existing and potential investments
  • Support investment portfolio reporting and quantitative analyses for Insurance Solutions
  • Assist with development, calibration, prototyping and documentation of risk models
  • Portfolio optimization based on risk adjusted metrics
  • Volatility forecasting, credit risk modeling, and liquidity risk assessments
  • Analyze time series data to identify any trends or errors/exceptions
  • Updating & checking pipeline data, including cross checking with other COE to verify funding date, allocations, spread, OID, EBITDA, LTV etc.

Requirements:

  • Master’s degree in finance, accounting, or a related field.
  • Strong understanding of private credit.
  • Strong proficiency in financial modeling, credit analysis, and data analysis.
  • Demonstrated expertise in assessing credit risk, financial statement analysis, and interpreting complex financial data.
  • Excellent analytical and problem-solving skills, with attention to detail.
  • Candidates with a CFA designation or those actively pursuing the CFA program will be given preference.
  • Advanced proficiency in MS Excel, Bloomberg, and other relevant financial analysis tools.
  • Strong written and verbal communication skills for presenting complex financial information effectively.
  • Operate with high attention to detail
  • Proven ability to work independently and collaboratively in a fast-paced, dynamic environment.
  • Ability to apply quantitative methods to analyze risk
  • Strong understanding of fixed income concepts
  • Flexibility to stretch and work towards closure of deliverables.
  • Display strong attention to detail to deliver high level of accuracy and quality.

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Crisil

Financial Services

Mumbai Maharashtra

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