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MBS Analyst - Portfolio Management

Company Name:
Fannie Mae Corp
MBS Analyst - Portfolio
management
THE COMPANY Fannie Mae exists to expand affordable housing and bring global capital to local communities in order to serve the U.S. housing market. Today, our focus is on preventing foreclosures, making mortgages and rental housing as affordable as possible, and supporting the housing recovery. We are rapidly building and realigning our company to better serve the market as we support the Administration's Homeowner Affordability and Stability Plan. Join our dedicated, diverse, high-performing workforce and put your unique talents to good use as we work with our partners to advance our nation's housing recovery. For more information about Fannie Mae and our career opportunities, visit . JOB INFORMATION The Mortgage Analyst will be responsible for contributing to the overall strategy of the management of the retained portfolio. Responsibilities include tracking market activities, reporting relative value opportunities to senior management, making pricing and trade recommendations, and evaluating valuation and risk models. They are expected to have a robust dialogue with the dealer
community
, leveraging market color, opinions, and liquidity. KEY JOB FUNCTIONS Develop and evaluate relative value trading strategies. Using existing and custom tools, evaluate the risk profile of the portfolio and recommend and implement hedging strategies. Use internal valuation and risk models along with external
systems
(Bloomberg, Yieldbook etc) to assist with analysis. Perform and present custom market analyses. Data analysis to support balance sheet management effort. Drive the process of model and technology improvement across various analytical and database tools. Engage with business partners both internal and external to develop, maintain and enhance relationships. Be a subject matter
expert
and represent the group in that capacity to senior management and various other groups within the organization. Participate in team discussions, prepare management reports, and represent Capital Markets in internal discussions with key stakeholders. Develop skills and knowledge of Capital Markets with the goal of transitioning into an unsupervised execution role. EDUCATION Bachelor's Degree or equivalent required MINIMUM EXPERIENCE 6 years of related experience SPECIALIZED KNOWLEDGE and SKILLS Analyze market conditions and relative opportunities to optimize the return profile of the investment portfolio. Using existing and custom tools, evaluate the risk profile of the portfolio and recommend and implement hedging strategies. Perform and present custom market analysis. EMPLOYMENT As a condition of employment with Fannie Mae, any successful job applicant will be required to pass a pre-employment drug screen and to successfully complete a background investigation, which may also include a credit check for positions in some areas of our business. Fannie Mae is an Equal Opportunity Employer. BETS_ARC_Setter BACH_a33d1a matter MYK62683JR

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