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Vice President
Duff & Phelps
New York, NY, United States
Job Details - this job has expired, please see similar jobs below
Our professionals balance analytical skills, deep market insight and independence to deliver solid, defensible analysis and practical advice to our clients. As an organization, we think globally. We create transparency in an opaque world, and we encourage our people to do the same. That means when you take your place on our team, you’ll discover a supportive and collaborative work environment that empowers you to excel. If you’re ready to share your perspective with the world, then you can make a real impact here. This is the Duff & Phelps difference.
Duff & Phelps’ Complex Asset Solutions (CAS) practice group works on a variety of challenging assignments by which we improve our clients' ability to identify value, control, diversify, mitigate, and/or exploit risk. The CAS team values complex assets, structured transactions, hybrid products, derivatives and real options across the fixed income, commodity and equity space. It builds sophisticated risk analytics to address market, credit and operational risks. CAS consults clients on asset specific and macro hedging options and helps develop tools and reporting to mitigate balance sheet and income statement volatility.
At Duff & Phelps, your work will help protect, restore and maximize value for our clients. Join us and together we’ll maximize the value of your career.
RESPONSIBILITIES:
• Valuation and analysis of, amongst other things, mortgage whole loans, auto loans, student loans, consumer loans, and/or other structured finance securities
• Implementation and utilization of best valuation practices in general and specific to structured products and underlying collateral
• Drive the development and refinement of valuation models and approaches to determine valuation inputs, including loss and prepayment vectors, as well as appropriate secondary market spreads
• Analytics to help improve understanding and design of liquidation strategies for distressed asset portfolios
• Analysis of secondary trading market activity, underlying loan and security performance, as well as new issue activity when applicable
• Help manage existing client relationships and project execution as well as pitch new business to both existing and new clients
• Conduct research, draft reports, and make presentations
• Work as part of a team to provide a wide range of advisory services, including valuation, risk analysis and portfolio solutions
REQUIREMENTS:
• Bachelor’s or Master’s in a quantitative discipline and an in-depth knowledge of finance, mathematics and statistics as it applies to the financial markets from an accredited college or university
• Minimum of 4 years of experience preferred
• Effective interpersonal, comprehension and communication skills
• Ability to master new tasks quickly
• Demonstrated leadership experience and strong personal integrity
• Ability to prioritize tasks, work on multiple assignments, and manage rapidly changing assignments in a team environment
• Structuring, trading, or whole loan modelling experience desirable
• Strong analytical and problem solving skills
• Creative thinker with strong intellectual curiosity
• Problem solver
• Demonstrated commitment to obtaining outstanding results
• Programming proficiency for financial modeling applications is a plus
In order to be considered for a position at Duff & Phelps, you must formally apply via careers.duffandphelps.jobs
Duff & Phelps is committed to providing equal opportunities in employment. We will not discriminate between applications for reason of gender, gender identity, race, religion, color, nationality, ethnic origin, sexual orientation, marital status, veteran status, age or disability.