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Newwavelending

Secondary Market Analyst

Newwavelending, Irvine, California, United States, 92713

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New Wave Lending | Full-time | City of Industry, CA 91789 New Wave Lending Group Inc.

was founded to accommodate the mortgage needs of consumers in California, particularly in the wholesale and retail mortgages market. New Wave Lending Group aims to innovate the mortgage lending industry by leading the industry into the next generation with innovative technology, personalized B2B interface, and excellent customer service. By simplifying the workflow process for our mortgage partners, we can deliver a consistent and reliable platform leading to more efficient, faster closings. To support our continued growth and provide our clients with competitive loan options while managing risk, we are seeking a

Secondary Market Analyst

to assist in the sale and purchase of loans. The role involves analyzing mortgage loan portfolios, securities, and mortgage-related investments to determine risk and return based on current market trends and economic conditions. The analyst will also prepare reports and financial models to forecast asset performance, aiding in decision-making for loans and investments. Specifically, the Secondary Market Analyst will perform the following duties: Analyze and evaluate mortgage loan portfolios, securities, and mortgage-related investments to assess risk and return for potential loan sales or purchases. Factor market trends, economic conditions, and financial forecasts in the evaluation of potential investment opportunities. Assist in the sale and purchase of loans by providing data-driven insights and financial models. Create detailed reports and models to forecast asset performance and recommend optimal strategies for maximizing returns. Monitor industry trends to identify profitable opportunities and mitigate risk in loan transactions. Support hedging strategies by analyzing financial data, ensuring alignment with overall risk management objectives. Collaborate with cross-functional teams to align portfolio strategies with company objectives and ensure seamless loan transaction processes. Conduct due diligence and credit risk analysis on potential loan buyers and sellers to minimize financial risks and ensure compliance with regulatory standards. Bachelor's degree in Economics, Finance, or a closely related field (foreign educational equivalent acceptable). 12 months of work experience conducting research in and analyzing financial markets and producing reports to support decision-making related to financial investment strategies. Proficient in data analysis software including Tableau, Microsoft Visual Basic VBA, Bloomberg Professional, and R.

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