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Global Banking & Markets, Loan Management, SF Trade Analytics, Analyst/Associate - Dallas

Goldman Sachs
Posted 2 months ago, valid for 15 days
Location

Dallas, TX 75320, US

Salary

Competitive

Contract type

Full Time

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Sonic Summary

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  • The Structured Finance Analytics team is seeking a motivated professional to support the Credit & Asset Finance business within the Global Banking & Markets division.
  • Candidates should have 0 to 3 years of experience for analyst roles or 3+ years for associate roles, with a focus on residential loans or fixed income.
  • The position requires a Bachelor’s degree and involves acting as a client advisor while performing analytics on various securitization transactions.
  • Preferred skills include advanced Excel functions, technical skills in CAS, Excel VBA, SQL, and knowledge of Python.
  • The salary for this role is competitive and commensurate with experience.

The Structured Finance Analytics team under Global Banking & Markets division is seeking a motivated professional to support the Credit & Asset Finance business. The team has product expertise across residential assets, consumer loans, real estate, and warehouse financing. The successful candidate will be responsible for the below: 

 

JOB DUTIES:

 

  • Act as a client advisor and perform analytics on all principal and 3rd party securitization transactions including but not limited: NPL, RPL, PJ, Agency, Non-QM, SFR, MSR, Investor Occupied, Second Lien, Fix and Flip, iBuyer and Mortgage Insurance Linked Notes. Responsibilities include: 
    • Collaborate with client and perform data tape creation from various resources including: 
      • Settlement Data
      • Latest Month End Servicer Data
      • TPR due diligence Data 
      • Originator Data 
    • Perform data validations and create portfolio level stratification and replines. 
    • Perform portfolio collateral analysis. 
    • Provide pool level CPR speeds, loss severity and credit enhancement from RA (Fitch, KBRA, Moodys, Milan) models. 
    • Assist in populate credit memo and PPM materials with outside accountants and lawyers. 
  • Perform asset pool selection based on contribution requirements on ABS/CMBS securitization. Work with rating agencies and create historical performance matrices (CPR, CDR, Charge off, Recoveries, Loss) to project future performance. 
  • Evaluate daily mark to market on all MSR warehouse lines. Provide recommendations on OAS spreads given the recent dynamic change in rate environments. 
  • Manage cross-functional relationship with the desk, IBD, transaction management, diligence, operation, controller, and technology team to ensure monthly portfolio activities are accurately represented. 

     

MINIMUM EDUCATION REQUIREMENTS/DEGREE AND FIELD:

Bachelor’s degree (U.S. or foreign equivalent) 

MINIMUM YEARS EXPERIENCE REQUIRED:

  • 0 to 3 years of Resi loans / Fixed income experience or internship in related fields for analyst. 
  • 3+ years of experience for associate. 

Preferred Skillsets: 

  • Undergraduate in Finance, Economics, Mathematics, or other STEM related degree
  • Big four accounting firm experience in collateral analytics and RA runs on RMBS/CMBS deals strongly preferred. 
  • Advanced Excel skills with knowledge in advance functions such as vlookup, sumproducts, index/matches, indirects etc. 
  • Technical Skills including CAS, Excel VBA, SQL preferred. Knowledge in Python huge plus. 
  • Ability to perform under fast-paced environment with tight time constraints. 



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