CMBS Portfolio Analyst Interiew: knowledge of ARGUS or DYNA
Not sure if this belongs in this forum or the AM forum...
I have an interview coming up for a portfolio analyst supporting a securitized PM team (mainly CMBS). Does anyone have suggestions on specifics or general ideas that I should be prepared to answer?
The job posting says they prefers working knowledge of ARGUS or DYNA, neither of which I have used. Previously, I worked on ABS/RMBS/CMBS deals on the trustee side of a large US bank doing collateral analysis, reporting, etc. The description of the job also refers to sensitivity and variance analysis around op budgets, valuation models, returns, etc.
I am a CFA charterholder, but not sure how helpful it will be in this role. Any thoughts on this would be greatly appreciated? Thanks in advance.
bump
bump?
bump. anyone?
CMBS Portfolio Analyst Interiew (Originally Posted: 02/08/2013)
I posted this in the RE forum as well as I was not sure where exactly this would fall under...
I have an interview coming up for a portfolio analyst supporting a securitized PM team (mainly CMBS). Does anyone have suggestions on specifics or general ideas that I should be prepared to answer?
The job posting says they prefers working knowledge of ARGUS or DYNA, neither of which I have used. Previously, I worked on ABS/RMBS/CMBS deals on the trustee side of a large US bank doing collateral analysis, reporting, etc. The description of the job also refers to sensitivity and variance analysis around op budgets, valuation models, returns, etc.
I am a CFA charterholder, but not sure how helpful it will be in this role. Any thoughts on this would be greatly appreciated? Thanks in advance.
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