Overview
Skills
Job Details
We are seeking high-caliber professionals to support our strategic initiatives across Secondary Markets, Mortgage-Backed Securities (MBS), Structured Products, and Capital Allocation within REITs. Due to the distinct nature of these domains, we are open to considering two complementary profiles or a hybrid candidate who brings depth across both verticals.
Profile 1: Structured Finance & MBS Expert
< data-start="976" data-end="1005">Key Responsibilities</>Conduct cashflow modeling and scenario analysis for MBS and structured products
Evaluate and trade MBS and related structured securities
Support capital markets strategy within secondary markets
Perform prepayment modeling, interest rate scenario stress testing, and duration/convexity analysis
Previous experience at firms like Quantitative Risk Management, RiskSpan, MCT Trading, Compass Analytics, or similar
Familiarity with agency and non-agency MBS, CDOs, CMOs, CRTs
Strong quantitative and analytical modeling skills, preferably using Python, R, SQL, or similar tools
Roles held: MBS Trader, Structured Products Analyst, Capital Markets Strategist
Profile 2: REIT Capital Allocation Strategist
< data-start="1769" data-end="1798">Key Responsibilities</>Lead capital deployment strategy aligned with REIT growth objectives
Analyze and interpret REIT-specific financial metrics such as FFO, AFFO, leverage ratios, and NAV
Support SEC filing processes, including 10-K, 10-Q, and MD&A documentation
Collaborate with investment, asset management, and FP&A teams to guide capital strategy
Experience working in top-tier REITs such as American Tower, Prologis, Equinix, Welltower, etc.
Deep knowledge of REIT operating models and capital structures
Strategic finance, investor relations, or treasury experience within a REIT environment
Strong command of GAAP/SEC reporting and REIT regulatory frameworks
Required Skills (for either or both profiles)
Strong analytical and quantitative skills
Excellent communication and cross-functional collaboration ability
Advanced Excel; experience with financial modeling platforms (e.g., Intex, Bloomberg, Yield Book, or similar)
Familiarity with regulatory filings and public company disclosures