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Who We Are:
Angel Oak Companies is a diversified financial services company specializing in asset management and non-agency mortgage origination. These two business lines allow us to pursue our vertically integrated business model where information from our ecosystem drives a continuous loop between investment management and product development. Angel Oak offers income-driven structured credit solutions through our public and private fund platforms.
Angel Oak Capital Advisors, LLC is the asset management arm focused on identifying and executing income-driven investment strategies to address opportunities within the mortgage and structured credit markets. The firm offers investment vehicles across a range of liquidity horizons to match client needs and return objectives. Through the Public Funds, investors obtain retail access to the structured credit market via mutual funds, ETFs, UCITS, and closed-end funds. Institutional investors gain access to private mortgage credit via Angel Oak’s integrated, “originate-to-own” approach. Our model allows for full transparency and control of the origination process as well as a consistent supply of investible assets which provides a distinct competitive advantage within mortgage credit investing that has not been replicated by any of the firm’s competitors.
Angel Oak Capital Advisors is a $17 billion investment management firm focused on providing compelling fixed income investment solutions with an added level of expertise in the securitized credit space. We are a highly entrepreneurial organization that embraces a strong service-based culture, and Angel Oak has been consistently named a Top 150 Workplace by the Atlanta Journal Constitution. Candidates will be an integral part of a successful and quickly growing firm that fosters and values innovation.
Position Overview:
In this role, you will be responsible for assessing and managing risks associated with our structured credit investment portfolios. You will work closely with our portfolio managers, traders, and the Risk Management team to develop and implement quantitative risk models, analyze portfolio risk profiles, and contribute to the decision-making process. This is a unique opportunity to contribute to the success of a dynamic and growing asset management firm in the structured credit space.
The Wholesale distribution team works very closely with the Portfolio Managers and has a weekly call to discuss investment and allocation strategy and how current market events affect these strategies.
Principal Responsibilities:
Qualifications
Minimum:
The selected candidate should be a detail oriented, highly motivated, organized, and self-directed individual who is constantly striving to exceed expectations. The candidate will consistently maintain a positive attitude, a high level of activity and be motivated by surpassing goals and contributing to the success of the team.
An ideal candidate will have:
NOTE: These statements are intended to describe the general nature and level of work involved for this job. It is not an exhaustive list of all responsibilities, duties, and skills required of this job.
Angel Oak Capital Advisors provides equal employment opportunities (EEO) to all employees and applicants for employment without regard to race, color, religion, sex, national origin, age, disability or genetics.
Full Time
$87k-115k (estimate)
06/09/2023
05/23/2024
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