Job Description
About Us
Oxane Partners is a technology-driven solutions provider to the private credit markets. Our solutions transform the way investment firms and banks analyze and manage their investments. We unify our technology with deep domain expertise to provide compelling and relevant solutions across all asset classes. Our collaborative engagement approach helps our clients evaluate more opportunities faster and better manage their existing investments while still maintaining the rigor of their investment process. Our solutions manage over $800 billion of notional for 100+ clients including 20 of the top 30 global investment banks, 10 of the top 15 global private credit investment firms, 5 of the top 10 global private equity firms, and 10 of the top 25 alternative asset managers. Founded in 2014 by former credit traders from Deutsche Bank, Oxane Partners has grown to a team of 600+ highly skilled financial analysts and technology experts. Oxane Partners is headquartered in London and has additional offices in New York, Gurgaon, and Hyderabad.
This role will be a part of our growing Portfolio Management team, and the primary responsibility would involve working on certain client engagements where Oxane provides portfolio management services or reporting services to global institutional investors investing in Structured Credit Products, loan portfolios, asset-backed financing, or leveraged financing transactions. Support ongoing portfolio lifecycle management activities across our Funds Financing Portfolio, which includes Subscription Lines, NAV Facilities, Hybrids and GP Financing. The incumbent will be responsible for working closely with clients in assisting and monitoring their investments.
Requirements
âOnboarding the client's investment portfolio on Oxane's proprietary platform with the help of IT
team
âWork closely with the clients in supporting them in monitoring the performance of investment
transactions across various asset classes.
âReview and extract relevant data from credit/loan agreements, amendment documents, and other
reports as required by clients or for analyzing the credit
âMonitoring of key scheduled events throughout the life of the loan: Interest Payment Date, Maturity
Date, Financial Statements etc.
âRunning waterfall on Interest payment date.
âAssisting the team in monitoring a portfolio of existing Funds Finance transactions.
âSupporting ongoing portfolio lifecycle management activities across structured finance transactions
âInclude collecting relevant information as required and assisting with monitoring deal and client
performance against specified triggers.
âAssist in the preparation of ongoing reporting as required by the client
âPresenting the analytics to clients to match their expectations
âProficiency in financial modelling using MS Excel
âAbility to work independently and collaboratively as part of a team in a fast-paced environment
âStrong communication skills - written, verbal, and interpersonal skills
âAbility to work well under pressure to meet strict and aggressive deadlines
âDesired candidate must have graduated / MBA/ advanced degree in finance
âKnowledge of Funds Finance (subscription line and/or NAV facilities) in a portfolio management or
front office role, and some familiarity with the transaction documentation