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Salary
$125k – $150k per year
Location
In office
Overview
Company
Impact
Profile match
Marathon Asset Management, now operating as CVC Marathon, is a global asset manager specializing in public and private credit markets. It invests in leveraged loans, high-yield bonds, asset-based lending, structured credit, emerging markets debt and opportunistic credit for institutional clients. The firm was founded in 1998 by Bruce Richards and Louis Hanover in New York and later became part of the CVC Capital Partners credit platform.

Overview

Marathon Asset Management is a leading global asset manager specializing in public and private credit with ~$24 billion in assets under management. Marathon is recognized as a distinguished leader with 27+ years of exceptional performance and partnership. Marathon’s integrated global credit platform is driven by our specialized, highly experienced, and disciplined teams across Private Credit: Direct Lending, Asset Based Lending and Opportunistic Credit and Public Credit: High Yield, Leveraged Loans & CLOs, Emerging Markets, and Structured Credit. Marathon’s mission is to build lasting partnerships with an unwavering commitment to delivering best-in-class performance, service, and reliability on behalf of our clients.

Responsibilities

  • Underwrite and size commercial real estate loans across multiple asset classes by analyzing financial statements, property cash flows, and market data.
  • Conduct comprehensive due diligence, including gathering and reviewing documentation from borrowers, brokers, and third parties.
  • Prepare and present detailed credit memorandums and financial models for investment committee review.
  • Support the structuring, negotiation, and closing of investment transactions in coordination with deal teams, legal, and closing departments.
  • Participate in deal pipeline management, early-stage deal screening, and ongoing portfolio monitoring and compliance reporting.
  • Interface with borrowers and industry partners to ensure timely and accurate transaction execution

Qualifications

  • Bachelor’s or Master’s degree in Finance, Mathematics, Engineering, Statistics, Quantitative Finance, or related quantitative field preferred.
  • Advanced proficiency in Excel and financial modeling as well as Power Point.
  • Hands-on experience building, running, and interpreting complex financial models and large datasets for investment analysis.
  • Proven skills in analytical thinking, risk assessment, and scenario analysis - ideally experience in CRE, fixed income, or credit risk roles.
  • Thrive in fast-paced, high-stakes environments; hungry to learn, excel, and advance on a team of CRE investment experts

The average salary for this role is $125,000 - $150,000 base pay and exclusive of any bonuses or benefits. The base pay offered will be determined based on your experience, location, skills, training, certifications and education, and in addition we will also consider internal equity and market data.

No agencies please

Equal Opportunity Employer M/F/D/V

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