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Anonymous

Debt Portfolio Management

Career Insights for Investment / Portfolio Analyst

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What they do

An Investment or Portfolio Analyst advises individuals and companies about investments. Typically works with a collection of investments called a portfolio, though can also advise clients about individual investments. Studies trends that impact investments and writes reports regarding economic and business changes and activities that affect the value of investments. Can also be involved in the selling of investments, such as stocks. Works mainly in investment firms, though can also be employed in lending institutions, corporate finance departments, banks or insurance companies.

$96,019 / year median in New Jersey

-4% projected decline

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Job Description

Debt Portfolio Management at Anonymous Debt Portfolio Management at Anonymous in Weehawken, New Jersey Posted in about 22 hours ago.

Type:

full-time Role Overview An established investment management firm is seeking an Analyst to support Debt Portfolio Management team, including underwriting, and portfolio oversight for a large, diversified commercial real estate loan portfolio. The portfolio includes loans across multifamily, retail, office, and industrial assets Key Responsibilities Monitor loan performance, including covenants, funding activity, borrower requests (repayments, modifications, extensions, assumptions, collateral changes), and cash management processes Track tax and insurance escrows, property-level business plans, and coordinate with third-party servicers Support risk assessments of new investments, including review of cash flows, collateral valuations, market data, sponsorship, insurance coverage, and compliance metrics Assist with investor reporting Prepare materials for internal investment committees related to existing loans, including approvals, funding requests, and watchlist assets Review third-party reports such as appraisals, property condition reports, environmental studies, and insurance documentation Develop and maintain financial models using Excel and ARGUS Support efforts to improve processes through technology and automation initiatives Qualifications Bachelor's degree in Finance, Real Estate, Economics, or a related fi 1-3 years of experience in commercial real estate, lending, structured finance, or a related fi Exposure to CMBS, CLOs, or balance sheet lending is a plus Advanced proficiency in Microsoft Excel Experience with ARGUS is preferred