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Assistant Vice President, European RMBS

hace 2 semanas


WorkFromHome, Colombia R07_DBRSRtgsLtdUK DBRS Ratings Limited - UK Legal Entity A tiempo completo

Morningstar DBRS' European Structured Finance team is seeking an Assistant Vice President (AVP) to join us in either Frankfurt or Madrid. In this role, you’ll work side‑by‑side with the lead analyst to help shape and assign ratings for European RMBS transactions. We’re looking for someone who thrives in a collaborative, team‑focused environment. Someone with a strong work ethic, sharp analytical instincts, and an exceptional eye for detail. You’ll bring strong communication and presentation skills, enabling you to build relationships across all levels of the organisation and with external partners. This position is a great opportunity to deepen your expertise in European Structured Finance while gaining meaningful client‑facing experience. Key Responsibilities The AVP will join the European RMBS and Covered Bonds team and will be responsible for the following : Act as lead and backup analyst in the assignment of DBRS ratings to European RMBS transactions and, occasionally, transactions in other European structured finance asset classes (such as ABS, CLOs, NPL or Lease Securitizations) Conduct credit analysis utilizing DBRS rating methodologies and analytical tools Conduct period review of rating methodologies and lead improvement to rating methodologies and processes Support senior analysts and team lead in administrative work, filing and record retention requirements Study recent performance trends for transactions; the metrics to be evaluated include, among others : credit enhancement, delinquencies, cumulative defaults, recoveries, prepayments, seasoning, excess spread and changes in collateral characteristics Draft analytical documents, such as rating reports, press releases and research Collaboration with the DBRS European Structured Finance Surveillance Team and other teams / analysts, supporting analysts in maintenance of existing ratings Assess transaction amendments / restructurings Draft new rating committee memos summarizing the analysis and recommending a rating action Comply with all applicable policies and procedures Requirements Bachelor’s degree (or equivalent) in finance, mathematics, financial engineering, economics, accounting, or related quantitative discipline Minimum 3, preferably 5-6 years' experience in structured finance asset classes such as ABS, RMBS and SME-CLO transactions, gained in a rating agency, research, buy side or sell side environment Strong quantitative background with interest in developing skills including cash flow analysis Proficiency in Microsoft Excel; advanced skills in Word, PowerPoint, and Outlook Excellent written and verbal English communication skills Demonstrated analytical abilities, with a high attention to detail and commitment to the highest standards Ability to learn new analytical approaches proactively, think creatively, and collaborate effectively in a team environment Curiosity to develop new applications and to perform complex analyses Permission to live and work in the European Union; willingness to travel occasionally within Europe Nice to have Master’s degree, CFA, or accounting designation (completed or in progress), with experience in securitization Knowledge of analytical programming languages (e.g., VBA, Python) Proficiency in additional European language(s) Morningstar's hybrid work environment gives you the opportunity to collaborate in‑person each week as we've found that we're at our best when we're purposely together on a regular basis. In most of our locations, our hybrid work model is four days in‑office each week. A range of other benefits are also available to enhance flexibility as needs change. No matter where you are, you'll have tools and resources to engage meaningfully with your global colleagues. #J-18808-Ljbffr