Maranon Capital Seeks Portfolio Analyst
July 2017
Maranon Capital is seeking a Portfolio Analyst with exceptional critical thinking, interpersonal skills.
Responsibilities:
Review portfolio company financial statements. Perform ongoing, in-depth, analysis of financial performance, loan covenants and other credit statistics
Serve as primary contact with participant lenders in Maranon-led transactions, and syndicate heads in Maranon club investments, for financial reporting, covenant monitoring, and post-close actions
Coordinate the monthly review and quarterly valuation process. Prepare financial review and valuation materials using Maranon’s financial models as well as comparable company data and discounted cash flow analysis. Present results in valuation committee meetings
Manage database of portfolio company and fund level information. Prepare reports and ad hoc analysis for investment, operations, and marketing teams
Complete other portfolio administration tasks in a timely and accurate manner
Participate in the analysis and preparation of investment committee approval documents for amendment and incremental financing requests of existing Maranon investments
Requirements:
Bachelor's degree
One to three years of relevant industry experience with a background in middle market credit analysis and/or portfolio management (formal credit training program preferred)
Demonstrated knowledge of loan terms and structures, credit and compliance documentation, financial statement analysis, and projection modeling
Entrepreneurial drive – desire to be a member of a growing business and contribute to its success
Highest professional and ethical standards
Demonstrated ability to exercise initiative, business curiosity, sound judgment and discretion
Outstanding organizational and analytical skills with strong attention to detail and the ability to multi-task and prioritize in a deadline driven environment
Strong interpersonal skills and exceptional communication capabilities
Ability to work as a member of a small team handling a wide range of responsibilities
Maranon’s Differentiated Career Experience:
Unique perspective of investing senior, unitranche and mezzanine debt and equity across the capital structure
Opportunity to develop fundamental credit skills at a growing middle market investment firm alongside seasoned investment professionals
Exposure to a diverse set of industries, companies, management teams and transaction types
Entrepreneurial and growth-oriented culture supported by robust institutional processes
Maranon offers an attractive compensation package that is competitive with prevailing market terms for similar positions.
Maranon is seeking to fill the position for a Q3 2017 start date.
Interested candidates should send a resume and cover letter to careers@maranoncapital.com
Click here to download position specification sheet.