Responsibilities include, but not limited to:
- Data Analysis - Analyze financial data, including balance sheets, income statements and cash flow metrics, to assess financial performance and trends.
- Financial Modeling - Develop complex financial models to forecast future financial outcomes and stress test projected financials.
- Reporting - Prepare reports and presentations for senior management, summarizing findings and providing recommendations
- Portfolio Management - Quarterly review of financials and updating of internal borrower risk scoring.
- Ad Hoc portfolio management tasks
Requirements
- Bachelors Degree in Accounting/Finance or equivalent experience (3-5 years) required.
- Proficiency reading GAAP financial statements
- Strong analytical skills and quantitative skills to interpret complex financial data and make informed decisions
- Extensive knowledge of MS Excel and other financial modeling tools and software.
- Excellent verbal and written communication skills to present findings and recommendations.
- High attention to detail to ensure accuracy in financial reporting and analysis