MF Risk - Asset Management - Lead Associate

Fannie Mae
Plano
Full timeFunction: Capital Markets, Trading & QuantEducation: bachelorsSkills: ["Communication","Collaboration","Risk assessment","Analysis"]

Advise the Multifamily Risk team on processes, analyses, and modeling techniques to manage an assigned multifamily portfolio. Lead portfolio performance analysis using operational metrics and communicate insights to stakeholders. Recommend improvements to business processes and reporting through enterprise systems, evaluate asset- and loan-level risks, and partner with Asset Managers, servicers, and business teams to resolve portfolio issues and support strategies for higher-risk loans.

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FursaFursa
Fannie Mae
Fannie Mae
1 week ago

MF Risk - Asset Management - Lead Associate

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Last checked: 21 hours agoStatus: Live

Job Summary

Advise the Multifamily Risk team on processes, analyses, and modeling techniques to manage an assigned multifamily portfolio. Lead portfolio performance analysis using operational metrics and communicate insights to stakeholders. Recommend improvements to business processes and reporting through enterprise systems, evaluate asset- and loan-level risks, and partner with Asset Managers, servicers, and business teams to resolve portfolio issues and support strategies for higher-risk loans.
Location: Plano
Employment Type: Full time
Job Function: Capital Markets, Trading & Quant
Seniority: Mid level

Key Responsibilities

  • •Advise team members on processes, analyses, and modeling techniques for portfolio administration, strategic planning, and operations.
  • •Lead analysis of portfolio performance, trends, and operational metrics; communicate insights to stakeholders.
  • •Recommend enhancements to business processes, reporting capabilities, and portfolio management practices.
  • •Evaluate and monitor risks within multifamily assets and loan portfolios while adhering to governance, controls, and risk management standards.
  • •Partner with Asset Managers, Risk teams, servicers, and business stakeholders to identify and resolve portfolio issues, including occasional travel to inspect properties.
Travel: Low travel

Key Requirements

  • •Significant experience in multifamily or commercial real estate loan underwriting, servicing, asset management, or portfolio risk management.
  • •Knowledge of multifamily property financial statements, operating performance metrics, and real estate valuation concepts.
  • •Experience evaluating portfolio and asset-level risks and developing recommendations to mitigate risk exposure.
  • •Demonstrated ability to analyze complex information, present findings, and influence business decisions.
  • •Experience using data, reporting tools, and enterprise systems to support portfolio management and operational decision-making.
Experience:Real estateMultifamilyCommercial real estate
Education:Bachelor's
Skills:CommunicationCollaborationRisk assessmentAnalysis
Tech Stack:Artificial Intelligence (AI)Atlassian JIRACyberArkData AnalysisData Analysis InterpretationDatabase ManagementData MiningData VisualizationEnterprise Systems Management (ESM)Identity and Access Management SkillsConfiguration Management (CM)Governance and Compliance SkillsDuo

Company Brief

Fannie Mae
Fannie Mae is a government-sponsored enterprise that provides liquidity, stability, and affordability to the U.S. mortgage market by guaranteeing and purchasing residential mortgage loans and mortgage-backed securities.
Industry: Lending
Company Size: Enterprise (1,001+ employees)
Revenue: USD 1B+
Growth: Government & Public Sector
Valuation: Public Company (Market Cap in USD)
Funding: Government Funded
Headquarters: Washington, United States
Founded: 1938
WebsiteLinkedIn