Our client is an innovative real estate finance company expanding access to homeownership and housing wealth. Through flexible financing programs, such as home equity investments and expanded loan products, they serve borrowers outside traditional lending parameters, helping more homeowners reach their financial goals.
The Capital Markets Analyst will support a growing platform focused on alternative credit products, including non-qualified mortgages and home equity investment programs. This role offers broad exposure to capital markets activities, encompassing trading, portfolio management, and business development functions. The ideal candidate will bring strong quantitative and analytical skills, intellectual curiosity, and the ability to thrive in a fast-paced, collaborative environment.
Key Responsibilities
- Manage daily rate sheets, LLPAs, and pricing updates for expanded and DSCR loan products.
- Review and confirm rate lock requests, assist clients with the registration and lock process, and coordinate communications through the seller portal.
- Support pricing operations by publishing updates, analyzing underwriting exceptions, and maintaining seller distribution lists.
- Assist with bulk loan sales, securitizations, and portfolio trades through data mapping, pricing analysis, and settlement preparation.
- Generate P&L summaries, monitor pipeline activity, and ensure data accuracy across reporting systems.
- Track hedge positions, market activity, and portfolio performance, providing insights and ad hoc reporting as needed.
Qualifications
- Bachelor’s degree in Finance, Economics, Mathematics, or related field with strong academic performance.
- 1–3 years of experience in finance with an Understanding basic financial market principals including interest rate calculations and basic bond math.
- Advanced Excel proficiency; familiarity with VBA, Python, or SQL highly desirable.
- Strong quantitative and analytical aptitude.
To apply for this job email your details to resumes@huffmanassociates.com