Key Responsibilities
- Analyse and monitor structured finance transactions.
- Perform financial, portfolio and cashflow analysis using Excel-based models.
- Prepare analytical reports and transaction reviews.
- Support ongoing monitoring of existing transactions and programmes.
- Engage with issuers, investors, banks and other market participants.
- Contribute to market research, reporting and ad hoc projects.
Requirements
- Degree in Finance, Economics, Accounting, Actuarial Studies or similar.
- Experience in structured finance, credit, lending, mortgages, asset finance or a related analytical role.
- Strong Excel and quantitative analysis skills.
- Excellent attention to detail and communication skills.
- Interest in capital markets, securitisation and credit risk.

