Company Overview
A leading global alternative investment manager is seeking an Analyst to join its Asset Management team. The firm invests across a broad range of strategies within credit and private markets and manages a substantial pool of institutional capital. The platform is known for its disciplined investment approach, collaborative culture, and commitment to delivering strong risk-adjusted returns.
Position Overview
The Asset Management Analyst will support the ongoing monitoring and valuation of portfolio investments. This role offers meaningful exposure to complex capital structures and requires strong analytical skills, attention to detail, and the ability to operate effectively in a fast-paced environment.
Key Responsibilities
- Assist with onboarding new investments in coordination with investment teams
- Perform periodic valuations of illiquid investments
- Conduct financial and valuation analysis incorporating company performance, transaction structures, and market data
- Build and maintain financial models to track portfolio company performance
- Support the preparation of portfolio review and reporting materials
- Partner cross-functionally with accounting, compliance, investor relations, and other internal stakeholders
- Coordinate with external service providers, including auditors and valuation firms
Qualifications
- Bachelor’s degree in Finance, Economics, Accounting, or related field
- 1+ years of experience in investment banking, valuation advisory, public accounting, asset management, or related financial services
- Knowledge of credit and/or capital markets instruments
- Experience with financial modeling and valuation analysis
- Strong Excel and analytical skills
- Excellent written and verbal communication abilities
- Ability to manage deadlines and work collaboratively in a dynamic environment
- Demonstrated interest in investing and fundamental analysis
This role offers strong exposure to investment analysis within a collaborative and performance-driven organization.