SLC Management is a growing global asset management firm providing innovative and diversified investment solutions to institutional investors. We are breaking new ground with a full spectrum of solutions for a growing institutional client base of more than 1300 organizations. Our history of organic and strategic growth reflects this commitment with over CA$374/US$283 billion in assets under management (AUM). As a subsidiary of Sun Life, we are aligned with one of the worldxe2x80x99s leading financial services companies, and benefit from the stability and strength of that relationship.We are a performance-driven organization with a deliberate focus on fostering a development-focused, inclusive culture revolving around our Core Values of being client obsessed, valuing each other, acting with speed and having an ownerxe2x80x99s mindset. As part of our team, you play a role in fulfilling our purpose and making a difference. We offer a rewarding work environment that is filled with opportunity for growth where you will be empowered to meet the challenges of a highly competitive landscape.SLC Management offers a mix of in-office and virtual work where our employees are empowered to do their best. Generally, employees are expected to work three or more days in-office each week with flexibility depending on their business, client and team needs.:What Is in It for You:The role entails performing investment analysis and credit underwriting including identifying investment opportunities, performing industry research, financial and comparable analysis, operational and legal due diligence, drafting investment memos, and participating in presenting investment recommendations to the investment committee. Investment scope includes senior secured debt financing across a wide range of sectors including real asset financing, contract financing, structured debt transactions, and select private real estate financing. The successful candidate will also be responsible for monitoring and managing an existing portfolio of investments as well as assisting with business development activities.Identifies and analyzes potential debt investment opportunities, across a range of asset types and structures, within private real asset, structured debt, and private real estate. The investments will have a diverse geographic focus including USA, Canada, Europe, and Australia.Performs credit analysis, industry research, financial, operating, and legal due diligence including integration of environmental, social and governance (ESG) factors, to recommend suitable investment opportunities.With oversight from senior management, negotiates transaction terms, debt structure, legal documents, and consent requests.Prepares detailed written investment recommendations.Works with internal counsel, external counsel, Sponsors/Borrowers, and other third-party stakeholders to mitigate risk and execute transactions.Quantifies and interprets the financial impact of the investment including risks and opportunities, to help meet business goals with respect to volume targets, credit quality, asset diversification and risk/return metrics.Provides ongoing monitoring, management and reporting of an existing portfolio of investments to ensure compliance with internal and external guidelines.Participates in business development activities. Develops further expertise in originating new investment opportunities, broadening the origination platform, and identifying new growth areas for the team.Maintains in-depth understanding of current market trends, macro-economic factors, and capital market dynamics. Participates in various ad-hoc projects as they arise.WHAT YOU WILL DO:Proactive, takes initiative, and is self-motivated.4-6 years of experience in either commercial real estate investing, real asset investing, infrastructure, private debt, private equity, other credit-focused role, and/or investment banking.Bachelorxe2x80x99s degree or post-secondary education. MBA, CFA, or accounting designation preferred.Proficient with Excel and financial analysis and modeling skills.An understanding of fundamental investment principals and credit underwriting, with strong financial analysis, and technical risk assessment skills.Ability to comprehend and analyze financial statements.Familiarity with legal documentation associated with secured debt transactions.Intellectual agility, quick learning, and innovative problem solving skills.Very strong communication skills, with proficiency to clearly and confidently communicate and present, both orally and in writing to individuals are various levels within the organization.Strong interpersonal skills with ability to comfortably build constructive business relationships with external and internal parties.Strong organizational and time management skills to work independently and under tight timelines in a high-performance environment.Cooperative, collegial and ability to work effectively in a team environment.PREFERRED SKILLS:Bahelor's degree or post-secondary education is required.MBA, CFA, and/or accounting designation is preferred.4-6 years of relevant experience.Experience with Bloomberg, Foreign Currency Swaps, and CoStar or other third-party data sources would be considered an asset, though not required.Why SLC Management?
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