Rating Portfolio Manager
Our organization seeks a Rating Portfolio Manager to oversee the evaluation of investment processes and risk management skills.
* Evaluate key factors such as capital structure, legal protection, collateral quality, cash flow dynamics, and manager's experience.
* Interact with issuers, conducting due diligence meetings to assess their investment process and risk management skills.
* Prepare rating memos and new issuance reports, making recommendations to the rating committees.
Candidates should possess:
* Bachelor's degree in Finance, Business, or Math related fields.
* Eight (8) or more years of work experience in fund finance, investing, or structured finance.
* Experience with investment strategies in private equity, private credit, real estate, and asset-based lending.