Acquisition Analyst Jobs
By Blue Vista Capital Management At Chicago, IL, United States
Support financial reporting processes alongside operating partners and Blue Vista’s in-house asset management and portfolio management teams
Real estate-specific experience and financial modeling skills are strongly preferred, but not required
Strong quantitative and technical skills (proficiency in Excel and Word is required and proficiency in ARGUS is favored)
Excellent communication skills (written and verbal); ability to work effectively as part of a growing, dynamic team
0 to 1 year of full-time job experience
Depending on the business unit, responsibilities will include but are not limited to the following:
Credit Portfolio Manager Jobs
By Selby Jennings At California, United States
5+ years of experience in banking or finance industry with focus on middle market or commercial and industrial space
Strong knowledge in business and finance
Bachelor’s degree in Business, Finance or related degree
Strong understanding in PM responsibilities
Generate risk ratings & probability reports.
Prepare full underwriting, including financial analysis
Portfolio Risk Manager Jobs
By Western Asset At , New York, 10018, Ny $179,413 - $205,000 a year
Respond to questions/requests from client services, investment management, risk management, and external clients on risk and quantitative issues.
Knowledge and experience in Machine Learning a plus.
Strong empirical, analytic and technical skills.
Strong verbal and written communication skills.
Design and develop quantitative risk models to measure and quantify risk in MMF/Liquidity and Muni strategies.
Perform stress testing and scenario analysis to assess tail risks.
Credit Risk Analyst V, Portfolio And Governance Oversight
By KeyBank At United States
Develop and maintain Asset Quality reporting to inform Senior Management and Line of Business.
Develop and maintain portfolio performance monitoring, including segmentation analysis, to inform Senior Management and Line of Business.
This position is open to remote work including those who work outside of the East coast time zone.**
3+ years of experience in financial services or other applicable experience required
Undergraduate degree in Accounting, Business, Finance, Economics, Mathematics or related field
Advanced knowledge of Microsoft Office suite of products

Are you looking for an exciting opportunity to join a dynamic team and help shape the future of Acquisition Portfolio Credit Risk? We are looking for a motivated and experienced Acquisition Portfolio Credit Risk Analyst to join our team and help us identify, analyze, and manage credit risk across our portfolio. You will have the opportunity to work with a wide range of stakeholders to develop and implement strategies to mitigate risk and maximize returns. If you are looking for a challenging and rewarding role in a fast-paced environment, this is the job for you!

Overview:

An Acquisition Portfolio Credit Risk Analyst is responsible for analyzing and monitoring the credit risk of a portfolio of loan and investment products. The analyst will be responsible for developing and implementing strategies to mitigate credit risk, as well as providing guidance and advice to senior management on credit risk management.

Detailed Job Description:

The Acquisition Portfolio Credit Risk Analyst will be responsible for analyzing and monitoring the credit risk of a portfolio of loan and investment products. The analyst will be responsible for developing and implementing strategies to mitigate credit risk, as well as providing guidance and advice to senior management on credit risk management. The analyst will also be responsible for developing and maintaining credit risk models, analyzing credit risk trends, and monitoring credit risk exposures. The analyst will also be responsible for developing and maintaining credit risk policies and procedures, and ensuring compliance with all applicable regulations.

What is Acquisition Portfolio Credit Risk Analyst Job Skills Required?

• Strong analytical and problem-solving skills
• Knowledge of credit risk management principles and practices
• Knowledge of financial markets and products
• Ability to interpret and analyze financial data
• Ability to develop and maintain credit risk models
• Ability to develop and maintain credit risk policies and procedures
• Ability to work independently and as part of a team
• Excellent communication and interpersonal skills
• Proficiency in Microsoft Office Suite

What is Acquisition Portfolio Credit Risk Analyst Job Qualifications?

• Bachelor’s degree in finance, economics, or a related field
• At least 5 years of experience in credit risk management
• Professional certification in credit risk management (e.g. FRM, PRM, etc.) is preferred

What is Acquisition Portfolio Credit Risk Analyst Job Knowledge?

• Knowledge of credit risk management principles and practices
• Knowledge of financial markets and products
• Knowledge of financial regulations and compliance requirements
• Knowledge of credit risk models and analytics

What is Acquisition Portfolio Credit Risk Analyst Job Experience?

• At least 5 years of experience in credit risk management
• Experience in developing and maintaining credit risk models
• Experience in developing and maintaining credit risk policies and procedures
• Experience in analyzing and monitoring credit risk exposures

What is Acquisition Portfolio Credit Risk Analyst Job Responsibilities?

• Analyze and monitor the credit risk of a portfolio of loan and investment products
• Develop and implement strategies to mitigate credit risk
• Provide guidance and advice to senior management on credit risk management
• Develop and maintain credit risk models
• Analyze credit risk trends
• Monitor credit risk exposures
• Develop and maintain credit risk policies and procedures
• Ensure compliance with all applicable regulations