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Lead Investment Analyst
Phoenix Group. Structure and execute internal and external securitisations, including Equity Release Mortgages and other ABS/CLOs .
Tech Stack
Tools & technologiesVBA
About the role
Key responsibilities & impact- Structure and execute internal and external securitisations, including Equity Release Mortgages and other ABS/CLOs
- Optimise capital treatment and returns
- Support Equity Release Mortgage underlying pricing and analysis
- Partner with Actuarial, Risk and Capital teams to refine longevity, prepayment and property value assumptions
- Ensure alignment with Solvency II and internal risk appetite frameworks
- Lead cross-functional deal teams and coordinate Asset Management, Standard Life and external stakeholders
- Contribute to securitised asset strategy development, planning and MI development
- Price and execute structured credit and complex Private Markets transactions
- Negotiate commercial, financial and legal terms to optimise risk-adjusted outcomes
- Build and maintain cash flow models and investment recommendations
- Serve as a resource for complex transactions, pricing tools, targeted financial metrics and the Standard Life platform
- Monitor portfolio performance, emerging risks and covenant compliance
- Support asset management and restructuring activity
- Contribute to strategic initiatives, projects, market research and investment insights
Requirements
What you’ll need- Experience in an investment role, buy-side or sell-side, with exposure to assessing Structured Credit & Mortgage investments, including Mortgage Solutions, Equity Release Mortgages, Securitisations (ABS/CLO), Asset-Backed Finance and/or Insured Credit
- Broader cross-asset experience and familiarity with market participants
- Extensive knowledge of securitisations (ABS, MBS, CLO), and/or ERM and mortgage solutions and underlying securitised pools
- Strong cash flow analysis skills and credit fundamentals
- Experience with structures reliant on specific pools of assets
- Experience structuring investments within complex regulatory environments
- Track record of high-quality delivery and ability to manage multiple workstreams and priorities
- Strong self-direction, prioritisation and stakeholder management
- Advanced proficiency in Excel, Word and PowerPoint
- Familiarity with Intex
- Strong problem-solving and analytical skills
- Programming skills and/or VBA advantageous
- Understanding of Solvency II regulation and the Matching Adjustment framework desirable
- Exposure to investment origination and ongoing asset surveillance desirable
- Familiarity with commercial, contractual and legal negotiation concepts desirable
- Established or developing network across relevant market participants desirable
- Proven leadership and management skills of junior investment teams
- Clear and confident communication skills
- Strong relationship-building and stakeholder management skills
- Bachelor of Science or equivalent professional experience
- Additional study such as a Master's degree, CFA, CAIA or CQF beneficial but not essential
Benefits
Comp & perks- Bonus
- Private medical cover
- 38 days annual leave
- Excellent pension
- 12x salary life assurance
- Career breaks
- Income protection
- 3x volunteering days
- Flexible working between office and home
- Flexible working arrangements
- Career development opportunities