Senior Manager, Portfolio Investments

Goal Investment Management

• $160K — $190K *
Finance & Insurance
5 - 7 years of experience
Job Overview by Ladders

Qualifications

  • BS or equivalent degree required.
  • 5-7 years of consumer finance experience; investment banking or asset management experience preferred.
  • Strong data and analytics background with working knowledge of SQL.
  • Proficient in Excel with experience in building discounted cash flow models.
  • Familiarity with cash flow software like Intex or Wall Street Analytics is a plus.
  • Experience in automating processes is beneficial.
  • Strong presentation skills to effectively participate in investment committee meetings.

Responsibilities

  • Evaluate new investment opportunities and present pricing, risks, and returns to the investment committee.
  • Collaborate with joint venture partners to assess investment opportunities and monitor existing investments.
  • Develop and formalize an analytical framework for investment evaluation and establish a sustainable financial modeling process.
  • Analyze consumer finance performance data to forecast future loan portfolio performance.
  • Collaborate with operations and service providers to enhance investment performance and reduce risks.
  • Improve the investment reporting process and mentor analysts for quarterly reporting tasks.
  • Support capital markets transactions including financial modeling and relationship management of fund lenders.

Benefits

  • 401(k) with company match.
  • Medical, dental, and vision coverage.
  • Annual HSA contribution of $1,700.
  • Life insurance and disability coverage.
  • 14 paid holidays including your birthday and community days.
  • Office snacks and drinks.
  • Tuition reimbursement program.
  • Generous paid leave policies.
  • Vacation Incentive Plan after 3 years and a sabbatical day.
  • Wellness and work-from-home funds.
Full Job Description
Job Type

Full-time

Description

The Sr. Manager, Portfolio Investments will report to the Chief Investment Officer and be responsible for evaluating potential new investments and managing and valuing the company's existing portfolio. They will assist in capital formation for new investment structures and make recommendations to the investment committee regarding pricing, risks, and returns of potential new investments.

Job Responsibilities:
  • Evaluate potential new investments and make recommendations to the investment committee regarding pricing, returns, quantitative and qualitative risks, and adherence to guidelines.
  • Interface with joint venture partners to evaluate new investment opportunities and track progress of existing investments.
  • Formalize and codify the analytical framework used to evaluate investments. Build and manage a repeatable and sustainable financial modeling process.
  • Work with risk analysts to analyze large sets of consumer finance performance data to predict the future performance of the company's loan portfolio and investment book.
  • Partner with operations and service providers to make and implement recommendations to improve investment performance or mitigate risks.
  • Optimize the investment reporting process. Train analysts to compile and review reporting on a quarterly basis.
  • Support capital markets transactions used to finance investments, including financial modeling and scenarios analysis, legal document review, and relationship management of fund lenders.

Core Competencies:
  • Analytical Skills - able to structure and process quantitative and qualitative data and draw conclusions from it. Works with attention to detail and will not let things slip through the cracks.
  • Efficiency - able to produce significant output with minimal wasted effort
  • Communication Skills - can speak and write clearly and articulately without being overly verbose. Communicates to all levels of the organization and can effectively share information to executive level audiences.
  • Flexibility - adapts quickly to changing priorities and conditions
  • Teamwork - works well with peers, subordinates, and executives of all levels. Able to build cross-functional relationships.
  • Intelligence - learns quickly and can absorb and process new information
  • Integrity - Does not cut corners ethically. Earns trust and maintains confidences. Does what is right, not just what is politically expedient. Speaks plainly and truthfully.


Basic Minimum Requirements:
  • BS or equivalent degree is required
  • 5-7 years of consumer finance experience; investment banking or asset management experience a plus
  • Strong data and analytics background and working knowledge of SQL
  • Strong excel skills and direct experience building discounted cash flow models required
  • Working knowledge of Intex, Wall Street Analytics, or other structured cash flow software a plus
  • Experience building and maintaining automated processes for frequently repeated tasks a plus
  • Strong Presentation / Meeting Skills - Must be able to participate effectively in investment committee meetings.


Competitive pay with bonus, and comprehensive benefits package that includes, but not limited to:
  • Compensation includes base salary of $160,000 - $190,000 commensurate with experience, plus bonus and options.
  • 401(k) + Company Match
  • Medical, dental, and vision coverage
  • Annual HSA contribution of $1,700
  • Life insurance, disability, and critical illness
  • 14 Paid Holidays! Eleven (11) + Two (2) Community Days + Your Birthday!
  • Snacks and drinks in the office
  • Tuition reimbursement program
  • Generous paid leave policies
  • $2,000 Vacation Incentive Plan after 3 years + $1,000 Sabbatical Day
  • Wellness, Work from Home funds, and more!


Salary Description

$160,000 - $190,000 annually, plus bonus

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