Portfolio Monitoring Analyst involved in key portfolio monitoring processes within private credit investment team. Supporting internal and external reporting while collaborating with various teams.
Responsibilities
Prepare monthly portfolio company data collection for internal (e.g. portfolio monitoring, risk, financing) and external (e.g. investors) reporting in partnership with outsourced data monitoring team (when applicable).
Assist in the preparation and coordination of quarterly portfolio monitoring reporting ahead of portfolio reviews, including supporting monitoring excel reports. Beyond preparation, it will be important to understand and analyse financial models, with the purpose of challenging the financials being reported.
Support the development of Hayfin’s reporting framework to shape and implement best-in-class processes to support business growth.
Support the team’s portfolio level reporting and analytics, whereby deep dives are conducted to understand industry or portfolio trends. This is a key contributor to ensuring that broader themes are considered during the portfolio construction process.
Become a key business partner for any asset level data ad-hoc requests from either internal or external parties.
Become a stakeholder in private credit data integrity and governance framework.
Requirements
Some experience in Financial Services or Private Markets is preferred (Either from internships or permanent positions).
A strong academic track record; a Finance related degree is beneficial but not essential.
Superior quantitative and qualitative analytical skills.
Strong working knowledge of finance, accounting, and fluency with reading financial statements across different sectors.
Highly organised and attentive to detail.
Highly motivated with a strong work ethic and a desire to learn.
Proficiency in a European language (German, French, Spanish) a plus.
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