- Lead the analysis of new structured finance transactions, including complex or first-time issuers and emerging asset classes
- Oversee the ongoing monitoring of transactions, ensuring robust and timely review cycles
- Conduct advanced data analysis and interpretation , leveraging large datasets to derive key credit insights
- Apply internal models and analytical frameworks to assess cashflow dynamics, structural features, and downside risks
- Produce high-quality written analysis and present recommendations to internal decision-making forums
- Provide thought leadership through market commentary, research contributions, and transaction insights
- Act as a key point of contact for external stakeholders, including issuers, arrangers, servicers, and investors
- Participate in due diligence meetings and assess operational and servicing capabilities of counterparties
- Support junior team members through mentorship, guidance, and quality review of analytical outputs
- Contribute to process improvements, analytical frameworks, and internal initiatives
- 5–8+ years of experience in structured finance, securitisation, structured credit, or credit analysis
- Experience gained within a bank, asset manager, credit fund, advisory firm, or similar institution
- Strong track record of analysing structured finance transactions and interpreting transaction documentation
- Advanced Excel and analytical capabilities, with experience working with models and data-driven insights
- Proven ability to communicate complex credit views clearly, both in writing and verbally
- Strong understanding of structured finance structures, including waterfalls, tranching, and collateral performance
- High attention to detail with the ability to manage multiple priorities and deadlines
- Commercial awareness and understanding of capital markets dynamics
- Strong stakeholder management skills and confidence engaging with market participants
- Analytical mindset combined with sound judgement and intellectual curiosity
- Exposure to a broad range of securitised products across RMBS, ABS, CLOs, or other structured credit asset classes
- Experience in transaction structuring, credit investing, or surveillance/monitoring roles
- Familiarity with legal documentation (e.g., offering memoranda, trust deeds)
- Experience with programming or data tools (e.g., Python, VBA)
- Professional qualifications such as CFA (or progress towards)


