Analyst, Portfolio Management Group - Diversified Industrials - Global Corporate & Investment Bank

689

Base: $100k-$110k; bonus/equity: discretionary per...
Hybrid (4 days onsite, 1 day remote)
Advanced financial modeling skills
Credit analysis and validation experience
Commercial loan portfolio management
MUFG is seeking an Analyst for its Portfolio Management Group in the Global Corporate & Investment Bank. The role involves managing corporate credit portfolios, evaluating risk, and supporting credit management while being part of a collaborative and people-focused culture

Job Summary

  • The selected colleague will support corporate coverage across an industry vertical lending business while assessing risk factors to determine appropriate credit ratings.
  • Responsibilities include performing due diligence on assigned loan portfolios, monitoring credit deterioration, and maximizing net income through active credit management.
  • The role offers a competitive benefits package including comprehensive health and wellness benefits, retirement plans, and educational assistance alongside a base pay range of $100K-$110K.

Matching Summary

Match Score: 85

MUFG is seeking an Analyst for its Portfolio Management Group in the Global Corporate & Investment Bank. The role involves managing corporate credit portfolios, evaluating risk, and supporting credit management while being part of a collaborative and people-focused culture.

Salary

Base: $100K-$110K; Bonus/Equity: Discretionary performance-based bonus eligible; Benefits: Comprehensive health, wellness, retirement, and paid time off

Skills & Requirements

Must-have

  • Advanced financial modeling skills
  • Credit analysis and validation experience
  • Commercial loan portfolio management
  • Covenant compliance monitoring
  • Risk rating determination

Nice-to-have

  • Strong written and verbal communication
  • Ability to work independently under pressure
  • Knowledge of macro-level country risk factors
  • Experience with structured credit transactions
  • Collaborative team environment participation

Key Requirements

  • 1-2 years of portfolio management or corporate credit experience
  • Bachelor's degree in Finance, Mathematics, or related discipline
  • Completion of formal credit-training program at a money center bank preferred
  • CFA certification is an asset

Work Rights

Not specified

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