
Vice President, Risk and Valuations
About the Company
Leading asset management & financial services firm
Industry Financial Services
Type Privately Held
About the Role
The Company is seeking a Vice President for Risk and Valuations to lead the development and implementation of risk and valuation strategies for a diverse range of credit portfolios. The successful candidate will be responsible for ensuring compliance and precision in valuation processes, driving innovation in valuation methodologies, and enhancing financial controls and governance frameworks. This role requires collaboration with cross-functional teams, particularly in the areas of ESG initiatives, and the ability to utilize advanced financial modeling to optimize decision-making and reporting processes.
Key responsibilities include overseeing valuation processes for structured and private credit assets, conducting stress testing, and exposure monitoring, and coordinating with accounting teams for accurate reconciliation of NAVs and performance metrics. The ideal candidate will have a Bachelor's degree in finance, economics, or a related field, with a CFA designation preferred, and 4-7 years of experience in asset management, private credit, or valuation advisory. Proficiency in Python and SQL for data analysis, experience with valuation systems, and strong financial modeling skills are essential. The role also demands excellent communication skills, a team-oriented mindset, and proactive project management capabilities.
Travel Percent Less than 10%
Functions
Finance
About the Company
Leading asset management & financial services firm
Industry Financial Services
Type Privately Held
About the Role
The Company is seeking a Vice President for Risk and Valuations to lead the development and implementation of risk and valuation strategies for a diverse range of credit portfolios. The successful candidate will be responsible for ensuring compliance and precision in valuation processes, driving innovation in valuation methodologies, and enhancing financial controls and governance frameworks. This role requires collaboration with cross-functional teams, particularly in the areas of ESG initiatives, and the ability to utilize advanced financial modeling to optimize decision-making and reporting processes.
Key responsibilities include overseeing valuation processes for structured and private credit assets, conducting stress testing, and exposure monitoring, and coordinating with accounting teams for accurate reconciliation of NAVs and performance metrics. The ideal candidate will have a Bachelor's degree in finance, economics, or a related field, with a CFA designation preferred, and 4-7 years of experience in asset management, private credit, or valuation advisory. Proficiency in Python and SQL for data analysis, experience with valuation systems, and strong financial modeling skills are essential. The role also demands excellent communication skills, a team-oriented mindset, and proactive project management capabilities.
Travel Percent Less than 10%
Functions
Finance