-
Location:
London, Greater London
-
Sector:
Loan Workouts/Debt Asset Management, Banking & Financial Services
-
Job type:
-
Salary:
Negotiable
-
Job ref:
JN -072021-74096_1632843012
-
Published:
28 September 2021
-
Expiry date:
15 November 2021
-
Start date:
ASAP
The Role
Using analytical and commercial skills the successful candidate will be responsible for valuing the company's investments of the fund on a quarterly basis The role included fund reporting, including consolidation of investment information as well as responding to ad-hoc investment and fund-level queries (including scenario analysis).
Key responsibilities;
Modelling portfolios of NPL's, Real Estate for valuation and business planning
Modelling Mezz loans and Equity Investments for valuations and business planning
Liaising with Asset Management teams and running various scenarios including exit analysis and refinancing
Regular analysis and reporting on both the investment and fund level including requests from CEO, external investors, and fund partners
Deal and Fund reporting development and maintenance
Analysing financial and management reports and large data sets
The Candidate
Strong Excel cashflow modelling skills are essential
Experience working with normalised databases, structured references, and data models
NPL experience is a significant benefit but not a prerequisite
Some Real Estate experience is required
Comfortable with large data sets
Ability to work under pressure and manage deadlines, solutions-orientated and focused upon delivering results
Highly motivated, proactive, and detail-oriented
Ability to take initiative and predict requirements
Excellent written and oral communication skills; can effectively convey relevant and salient information
'Can do', 'team player' attitude. Flexible, dependable, and cooperative.