Financial Engineer for Securitization Cash Flow Modeling
Description
RiskSpan is a leading source of analytics, modeling, data and risk management solutions for the Consumer and Institutional finance industries. We solve business problems for clients such as private credit investors, banks, mortgage-backed and asset-backed securities issuers, equity and fixed-income portfolio managers, servicers, and regulators that require our expertise in the market risk, credit risk, operational risk and information technology domains
Primary Responsibilities
· Extract deal structures for private asset backed finance securitizations and warehouses from offering memorandums, trustee reports, and other legal documents
· Create programmatic representations of the deals using Python
· Review Python code developed by others and assist with QC to ensure models reflect deal documentation
· Train junior team members best practices in modelling securitizations
· Partner internally to further develop our client-facing deal modelling toolset
· Work with customers across investment banks, hedge funds, and other alternative asset managers to model transactions and develop the structuring platform
Qualifications
· 2+ years of work experience in securitization modelling
· Proficiency in Python cash flow modelling required
· Exposure to multiple asset classes a plus.
· Experience in a cloud environment- preferably AWS
· Ability to interact directly with clients and speak confidently about cash flow models
RiskSpan is proud to be an Equal Opportunity/Affirmative Action employer committed to hiring a diverse workforce and sustaining an inclusive culture. Qualified candidates must be legally authorized to be employed in the United States on an unrestricted basis.