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The Risk/Valuation Analyst role within the MCM Portfolio Valuation team supports the creation, monitoring and documentation of all portfolios purchased by MCM. Reporting to the Senior Manager, Valuation & Risk, the analyst will be responsible for the valuation team’s monthly processes and the maintenance of the repository of documentation. In addition, this position will support the due diligence valuation process and use tools like SAS & SQL to conduct ad-hoc analysis on the performance of purchased portfolios. The analyst must be able to demonstrate sound problem-solving skills and judgment, possess exceptional integrity, and build strong partnerships with both technical and non-technical colleagues.

About the Role:

  • Execute re-occurring valuation processes, including management of valuation databases and performance reporting
  • Maintain valuation documentation repository to comply with internal and external audit requirements
  • Support the due diligence portfolio valuation process
  • Conduct analysis related to performance of purchased portfolios and surface recommendations to the valuation and broader Decision Science teams

Required:

  • Bachelor’s in economics/finance or other quantitative field
  • 1 – 2 years of experience in an analytical/quantitative role
  • Proficiency with MS office (especially Excel and PowerPoint); understanding of net present value (NPV) calculations and the logic of IRR

Preferred:

  • Experience with the logic of credit scoring and the development of marginal economic analysis; Knowledge of SQL, Base SAS and SAS / STAT, R, or Python