Sr. Investment Analyst
Job title: Sr. Investment Analyst in Radnor, PA at Lincoln Financial Group
Company: Lincoln Financial Group
Job description: Alternate Locations: Radnor, PA (Pennsylvania)Work Arrangement:Remote : Work at home employeeRelocation assistance: is not available for this opportunity.Requisition #: 74494The Role at a GlanceLincoln National Corporation seeks a Sr. Investment Analyst in Radnor, PA to identify and quantify key credit risk factors in structured products portfolio. Perform financial and quantitative analysis to evaluate the risk and return of prospective investments and explore new investment opportunities in structured products. Aggregates credit risk of entire structured product portfolio and optimizes overall risk/return profile of investment portfolio. Independently perform relative value analysis for structured products (RMBS, CMBS, CLO and ABS). Periodically summarize the findings and share them with the boarder portfolio management team and senior management. Utilize INTEX to collect data to analyze collateral performance over time for structured products. Project and track credit rating changes; defaults and loss severity of structured product portfolio. Monitors and manage prepayment/extension risk in structured product portfolio and propose strategies to mitigate such risk to achieve better match of cash flows between assets and liabilities. Working with technology, risk teams to improve valuation and measurement of interest rate sensitivity for structured products and residential mortgage credit. Working with US and non-US based insurance regulators (such as Bermuda) on subject matters related to structured products. Be a key liaison between Lincoln and its structured product investment managers on daily basis to make investment decisions based on Lincoln's portfolio construction principles. Provide key market intelligence on regular basis to support the strategic asset allocation and tactical asset allocation optimization processes after conducting market research on securitized structure products.Requirements
- Bachelor's degree or foreign equivalent in Finance, Finance-Quantitative or a quantitative related field and must have the following experience in relation to CLO, RMBS, ABS and CMBS structured products:
- 5 years of experience in communicating with structure product investment managers to collect and summarize market information, conduct market research on structured products. Use all collected market intelligence to facilitate portfolio day-to-day portfolio management.
- 5 years of utilizing INTEX for data collection to analyze collateral performance over time.
- 5 years of performing advanced financial analysis through regression, Monte-Carlo simulation, data distribution fitting, and optimization by programming with Python or VBA.
- 5 years of performing rates and credit portfolio stress tests and designing new event or factor-based stress scenarios.
- 5 years of experience in modeling cash flow of structured products investments. Experience performing complex scenario analysis to estimate the expected value of various portfolios.
- 1 year experience working with Bermuda Monetary Authority and NAIC on capital requirement on structured products.
Expected salary: $120711 per year
Location: Radnor, PA
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