Qualifications
Responsibilities
Benefits
Hiring Manager:
Associate DirectorDepartment:
Structured ProductsDepartment Overview
The Structured Products Team is a component of the Investor Partners Group (“IPG”) and is responsible for all debt and equity strategies and placement for the Firm.
The Structured Products Team is responsible for the structuring and placement of a variety of debt solutions for our various funds and accounts, all of which support our Direct Lending, Broadly Syndicated Loan and Credit Opportunities businesses. Firmwide, the Structured Products Team has executed 103 securitization vehicles representing more than $57 billion in notional value. In addition, the Structured Products Team manages more than $20 billion of debt commitments across a variety of loan-to-SPV secured bank lines, corporate revolvers and capital call lines of credit.
The team has an outstanding track record of top tier execution and innovation in the debt capital markets. The team interfaces with external banks and investors, while staying closely aligned with front, middle and back office functions to ensure delivery of timely and efficient debt solutions for the Firm’s various strategies.
Position Responsibilities
This individual will support the Structured Products Department in arranging lending facilities, securitization financing transactions, Middle Market and BSL CLOs, total return swaps, asset-backed finance, warehouse financing and issuance of senior unsecured bonds.
Responsibilities include but are not limited to:
Assisting in structuring and negotiating securitization financing and related transactions including collateralized loan obligations, lending facilities and total return swaps
Helping with ancillary documents such as offering circulars and indentures
Supporting the handling of internal borrowing transactions including external and internal warehouse financing and related ancillary documentation
Coordinating with Treasury and Operations to ensure the smooth pricing and closing of all CLO transactions and bank lines
Modeling deal capital structures and generating cash flow projections in Excel, Intex and Moodys
Running monthly / quarterly internal reporting
Participating in Golub Capitals CLO debt investor management and completing CLO investor requests as needed (including CRM record maintenance)
Preparing in-depth presentations and historical analysis for marketing CLO debt and equity to potential investors
Researching and developing new product ideas related to new and existing business initiatives
Candidate Requirements
Qualifications & Experience:
Bachelors degree required
At least 5 years of experience
Experience at a top-tier investment bank or asset manager
Financial transaction modeling experience is a plus
Self-starter with strong project management skills
Heightened attention to detail; must be meticulous and consistently accurate
Ability to learn and excel at day-to-day responsibilities and contribute to process improvement, standardization and automation
Team oriented with the ability to build relationships and earn the respect of others
Strong project management skills
Excellent analytical reasoning capabilities
Enthusiastic about working in office and creating a Gold Standard hybrid work culture
Critical Competencies for Success
Our Gold Standards Model defines key behaviors and competencies across 4 dimensions: Leadership, Achieving Results, Personal Effectiveness and Thinking Critically. These behaviors and competencies drive our ability to win together.
The department-specific competencies define the knowledge, skills and abilities that are needed to successfully perform the functional or technical work of this role.
Compensation and Benefits
Compensation will be commensurate with experience. Golub Capital offers a full range of benefits which includes medical, dental, vision and 401(k).About Golub Capital BDC, Inc.
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