Analyst - Capital Markets Risk

Fannie Mae
Washington, DC
Sep 15, 2020
Sep 20, 2020
Full Time
Job Description - Analyst - Capital Markets Risk (58482)Job Description Analyst - Capital Markets Risk-58482Description THE COMPANYFannie Mae provides reliable, large-scale access to affordable mortgage credit in communities across our nation. We are the leading source of funding for housing in America, which means more people can buy or rent a home. Join us at the heart of housing and:Solve complex problems that strengthen the housing finance system - and our economy as a wholeBe part of a culture of recognition - we value our people and reward efforts that put our values in actionJoin a diverse, collaborative, and inclusive workforce to make a difference in and out of the officeJOB INFORMATIONThe Analyst - Capital Markets Risk joins the Capital Markets Risk Management group, which is responsible for measuring and monitoring the risk in the Capital Markets balance sheet of mortgage securities and loans. **We are accepting applications to be considered for opportunities in early 2020. Please note that this invitation is NOT an active opening/posting. A recruiter will review your qualifications and, if an active opening becomes available in the future that meets your skill set, you may be contacted. ** KEY JOB FUNCTIONSMeasure and monitor the market, liquidity and credit risk in the balance sheet of mortgage securities and loans. Support portfolio's risk position with attribution to provide feedback to senior management on business strategies.Produce risk management reports and monitor the relevant markets and portfolio activity. Work with Analytics team and traders to develop tactical and strategic guidance on portfolio's risk position that are consistent with limits and capital constraints. Provide recommendations to senior management.Support Capital Markets team with guidance on portfolio composition with specific allocation recommendations across asset classes and products. Assist in developing debt funding strategy. Identify assets that are rich or cheap by assessing model results against recent or expected market developments.Review risk reports and capital adequacy reports to maintain a comprehensive understanding of risk positions, market conditions and business strategies. Maintain an understanding of investment and funding guidelines, market risk policies, liquidity risk policies, credit risk policies, and capital policies.Coordinate with systems personnel to continually develop the infrastructure to support business and modeling needs. This includes the portfolio collection and aggregation process, access to appropriate market information and utilization of different pricing methodologies to estimate fair value, and database which satisfies reporting and analysis needs.Work with the trading and funding desks in real-time, at both the portfolio and security level, to develop specific hedge recommendations for portfolio management to improve return/risk profile Support management through understanding P&L attribution and risk/return analysis and forecasting. Perform structured finance credit risk analysis to include assessment of underlying loans and deal structure.Qualifications EDUCATIONBachelor's Degree or equivalentMinimum Experience4-6 years of related experienceSpecialized Knowledge and SkillsStrong understanding of fixed income markets and product Strong quantitative background. Understands market risk characteristics of fixed income products including mortgage, debt, and interest rate derivativesAbility to work with large amounts of data and familiarity with database toolsProficiency with using and communicating basic statistical conceptsStrong intellectual curiosity with attention to details to ensure the quality of data and the soundness of models used in financial instrument valuationProficient with technology solutions supporting analytics and reportingExcellent verbal, presentation and written communication skills with an ability to explain technical concepts and results to a diverse audienceEMPLOYMENTAs a condition of employment with Fannie Mae, any successful job applicant will be required to successfully complete a background investigation.Fannie Mae is an Equal Opportunity Employer.Manager Level-AssociateJob Risk ManagementPrimary LocationDC-WashingtonOrganization Human Resources - DEPTSchedule Full-timeJob Type StandardShift Day JobEmployee Status RegularRelocation Available No