Job Description & How to Apply Below
As an Analyst in the Portfolio Management Group, you will play a key role in assessing risk factors for commercial loan portfolios. Your responsibilities will include supporting credit evaluations, conducting thorough due diligence, and collaborating with Senior Portfolio Managers on complex transactions in a deal team environment. Your understanding of macro and industry risks will guide strategic decision-making.
Key Responsibilities:
• Analyze and manage industry vertical loan portfolios
• Perform credit evaluations and due diligence regularly
• Prepare detailed credit applications and analyses
• Monitor compliance with credit conditions and documentation
• Collaborate on investment structures and strategies
Requirements:
• 1-3 years of relevant experience in portfolio management
• Bachelor’s degree in Finance, Mathematics, or similar
• Advanced skills in financial modeling and analysis
• Excellent written and verbal communication skills
• Capability to work independently in a fast-paced environment
Contribute to Mitsubishi UFJ's mission by applying your credit and analytical skills in Toronto.
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