Multifamily Capital Markets Professional
Freddie Mac · McLean, VA · 3 days ago
OTHR$114k–$172k/yrFull-time
About the role
The Multifamily division of Freddie Mac seeks a Professional to join its Capital Markets team. This role offers significant exposure to market participants, senior stakeholders, and key business functions across the organization.
Responsibilities
Capital Markets & Trading Support:
- Manage and execute a $30+ billion multifamily mortgage-backed securities pipeline.
- Execute weekly PC issuance transactions and interact with dealer counterparties throughout the trading and settlement process.
- Maintain market conditions, investor activity, and spread movements to provide actionable market intelligence and trade recommendations.
- Analyze transaction economics and evaluate securitization alternatives to optimize execution outcomes.
Analytics & Risk Management:
- Perform quantitative analyses of mortgage loan pipelines, security cash flows, and transaction structures.
- Contribute to the development of tools, models, and reporting solutions that enhance pipeline monitoring, issuance management, and risk assessment.
- Utilize data-driven insights to support business decisions, identify emerging trends, and improve execution efficiency.
Business Process & Product Innovation:
- Drive automation initiatives and workflow enhancements that improve scalability and operational effectiveness.
- Collaborate with internal stakeholders to support new products, platform enhancements, and strategic initiatives.
- Partner with external market data providers to maintain and enhance analytical and reporting capabilities.
Cross-Functional Collaboration:
- Work closely with teams across Capital Markets, Securitization, Security Operations, Asset Management, Production, Pricing, and Legal.
- Coordinate with external dealers, analytics vendors, and service providers, including Bloomberg and Intex.
- Communicate complex analytical and market concepts clearly to both technical and non-technical audiences.
Qualifications
- Bachelor's degree in Finance, Economics, Real Estate, Mathematics, Statistics, Engineering, Business, or a related quantitative discipline, preferred.
- 2-4 years of experience in capital markets, fixed income, structured finance, commercial real estate finance, banking, investments, or a related field, preferred.
- Strong analytical, quantitative, and problem-solving skills.
- Advanced proficiency in Microsoft Excel.
- Experience with SQL or other data-querying tools.
- Excellent written and verbal communication skills.
- Ability to effectively manage multiple priorities in a fast-paced environment.
- Knowledge of fixed income products, mortgage-backed securities, structured finance, or commercial real estate lending, preferred.
- Experience with financial modeling, securitization, or capital markets analytics, preferred.
- Programming experience in Python, VBA, R, or similar analytical tools, preferred.
- Familiarity with Bloomberg, Intex, or other market and structured finance platforms, preferred.