Analyst, Analytics/Irrm
Listed on 2026-08-03
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Finance & Banking
Financial Analyst, Financial Reporting, Risk Manager/Analyst, Financial Advisor / Consultant
Overview
Bayview Asset Management LLC seeks:
PositionAnalyst, Analytics/IRRM
DescriptionThe Analyst, Analytics/IRRM is responsible for the analysis and maintenance of portfolio segments and the synthesis of information necessary for managing interest-rate risk derivative positions. This role supports daily reporting, valuation processes, and trade-related activities across multiple funds, working closely with portfolio managers, traders, and internal stakeholders.
Responsibilities include:
- Analyze existing portfolio data to create financial reports and cash-flow projections.
- Conduct valuation of complex interest rate derivatives such as swaps, futures, swaptions, and TBAs.
- Perform daily reconciliation of derivative positions across different funds and portfolios.
- Produce daily P&L and exposure reports for distribution to portfolio managers.
- Maintain and update positions in futures, swaps, TBAs, and swaptions across all funds.
- Update and reconcile trade profit-and-loss reporting files and databases.
- Communicate effectively with internal teams and external counter parties to resolve portfolio and trade management issues.
- Prioritize assignments and meet expected deadlines in a fast-paced environment.
- Adhere strictly to compliance requirements and demonstrate exemplary corporate citizenship consistent with Bayview’s tenets.
- This position allows for a hybrid schedule with three (3) days in office and two (2) days remote.
Master’s degree in Quantitative Finance, Finance, or a related field, and at least one (1) year of professional experience in finance, data analytics, or a related occupation. Requires experience in/with:
- Performing quantitative and analytical analysis of financial data, including interpreting complex data sets to identify trends, risks, and anomalies.
- Performing data-intensive work requiring a high level of accuracy and attention to detail.
- Preparing written reports and communicating financial analysis and concepts to business or cross-functional stakeholders.
- Working knowledge of financial derivatives, including futures, swaps, TBAs, and swaptions, and their use in hedging strategies.
- Experience reviewing and managing collateral and legal documentation related to financial hedging instruments, including original margin and variation margin requirements.
- Knowledge of financial markets and transaction structures, including the ability to assess the impact of market conditions and macroeconomic indicators on portfolio performance.
- Advanced proficiency in Microsoft Excel, including use of pivot tables, complex formulas (including INDEX/MATCH and XLOOKUP), and Excel-based data analysis tools.
- This position allows for a hybrid schedule with three (3) days in office and two (2) days remote.
Monday through Friday, 40 hours per week
LocationCoral Gables, FL
This position allows for a hybrid schedule with three (3) days in office and two (2) days remote.
Salary$93,558
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