Jobs · Finance · Texas

MF Risk - Asset Management - Senior Associate

Fannie Mae · Plano, TX · 2 wk ago
FinanceFull-time

Job Description

As a Multifamily (MF) Risk Asset Management Senior Associate, you will play an important role in supporting the management, monitoring, and strategic oversight of a multifamily asset portfolio. Working closely with business partners and stakeholders, you will analyze portfolio performance, evaluate asset-level and portfolio-level risks, and support the execution of asset management strategies that align with organizational objectives.

Key Responsibilities

  • Support the execution of portfolio management and asset management strategies that align with business objectives and risk management priorities.
  • Monitor portfolio performance and analyze trends, identifying risks, opportunities, and emerging issues that may impact asset performance.
  • Evaluate multifamily assets and portfolio exposures to assess financial, operational, and market risks.
  • Prepare and deliver portfolio reporting, performance analyses, and recommendations for management and key stakeholders.
  • Analyze portfolio progress against strategic objectives and recommend actions to improve performance or mitigate risks.
  • Utilize enterprise systems and reporting tools to track, monitor, and document asset management activities and business processes.
  • Support governance, controls, and compliance activities to ensure adherence to internal policies, regulatory requirements, and risk management frameworks.
  • Collaborate with cross-functional partners including Credit Risk, Asset Management, Servicing, Operations, and Finance to address portfolio issues and drive business outcomes.
  • Assist in identifying process improvement opportunities and implementing solutions that enhance operational efficiency and reporting effectiveness.
  • Contribute to special projects, strategic initiatives, and portfolio reviews as assigned.
  • With minimal management direction, provide consultation to Multifamily Lenders, servicers, and third party vendors in order to ensure that proper steps are taken to effectively manage portfolio risk.

Minimum Qualifications

  • Bachelor's degree or equivalent combination of education and experience.
  • 2+ years of experience in asset management, risk management, portfolio management, commercial real estate, multifamily housing finance, financial services, banking, lending, or a related field.
  • Experience analyzing data and preparing business or portfolio performance reports.
  • Strong analytical, problem-solving, and critical thinking skills.
  • Ability to communicate complex information clearly to various audiences.
  • Proficiency with Microsoft Excel and business reporting tools.
  • Shows curiosity and adaptability in learning and responsibly applying new technologies, including artificial intelligence, to reimagine how we work.

Desired Qualifications

  • Experience with multifamily real estate finance, commercial real estate lending, servicing, or asset management.
  • Knowledge of portfolio risk management principles, governance practices, and control frameworks.
  • Experience working with large datasets and enterprise reporting systems.
  • Familiarity with financial statement analysis, property performance metrics, and portfolio analytics.
  • Ability to manage multiple priorities and work effectively in a collaborative environment.

Hybrid Qualifications

  • Education: Bachelor's Level Degree (Required).

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