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Analyst, Capital Markets Risk Management
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Analyst, Capital Markets Risk Management

Job Description



Responsible for generating the Secondary Marketing daily P&L Report, Reconciliations, and ad-hoc reporting.  Interaction with the trading desks within Capital Markets, include Accounting and Lending Divisions of PennyMac.



Responsibilities:

  • Generate daily position reports including P&L and Reconciliation
  • Verify trade settlement proceeds and GSE Fees
  • Continual process improvement and validation of data feeds
  • Other projects as required


Job Requirements



Required Minimum Education

4 Year college degree (Bachelor or equivalent)

Minimum Years of Experience

1+ years

  • Ability to utilize Microsoft Excel & Word
  • Knowledge of SQL and QRM’s Mortgage Banking Model a definite plus, but not required.
  • Strong written and verbal skills.
  • Ability to work independently with minimal supervision.
  • Ability to prioritize work and meet deadlines.
  • Good organizational skills to ensure integrity and maintenance of mortgage documents.
  • Strong mathematical aptitude and data analysis skills.
  • This is a temp to hire position.

      PennyMac is an Equal Opportunity Employer

Job Snapshot

Employment Type Full-Time
Job Type Management
Education 4 Year Degree
Experience Not Specified
Manages Others Not Specified
Required Travel Not Specified
Job ID US-2012-1701
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