Analyst

Posted 12 Days Ago
2 Locations
In-Office or Remote
Entry level
Real Estate • Software
The Role
The Analyst will support remittance reconciliation and reporting within the Business Intelligence team, collaborating with internal and external stakeholders to manage cash flows and create reports.
Summary Generated by Built In

COMPANY OVERVIEW:

Chimera Investment Corporation is a publicly traded real estate investment trust (REIT) (NYSE:  CIM) that is primarily engaged in the business of investing in a diversified portfolio of mortgage assets for itself and for unrelated third parties through its third-party investment management and advisory services. The assets Chimera may invest in and manage for others include residential mortgage loans, Non-Agency RMBS, Agency RMBS, business purpose loans (BPLs) (including residential transition loans (RTLs)) and investor loans, mortgage servicing rights (MSRs) and other real estate-related assets such as Agency CMBS, junior liens and home equity lines of credit, or HELOCs, equity appreciation rights, and reverse mortgages.

 

Palisades, which is a part of Chimera, is an alternative asset manager in the residential credit markets having managed more than $41.9 billion of loans, real estate, and fixed income securities since its 2012 inception.   As of December 31, 2024, Palisades manages mortgage, real estate and fixed income assets that amount to over $22.4 billion in notional balance through a series of separate accounts and discretionary investment funds for globally recognized asset managers, private equity firms, family offices, banks, broker dealers and insurance companies.

 

We offer individuals an exciting and challenging career in a collegial and collaborative environment. We aim to recruit and retain talented individuals who have demonstrated integrity and intellectual curiosity. We seek individuals who are willing to speak up, constantly striving to improve processes, genuinely excited to tackle complex challenges, technically proficient, transparent, collaborative, highly organized, capable of managing multiple tasks simultaneously, detail-oriented with a focus on both form and substance and driven to fulfilling their commitments.

               

POSITION SUMMARY:

We are seeking an Analyst to join our growing and dynamic team.

 

We are seeking a detail-oriented and analytically minded Analyst to join our Business Intelligence team with a focus on remittance reconciliation and investor-facing reporting. This role plays a critical function within the Business Intelligence (BI) group, serving as a key bridge between operational cash flows and portfolio-level reporting. Unlike servicer-side reconciliation roles, this position is fully embedded within the investment organization, directly supporting portfolio managers, asset managers, and investor relations teams with timely, accurate, and actionable cash flow intelligence.

 

This is a small team, and any candidate must be a team-player, able and willing to work on cross-over projects, able to pick up complex concepts and communicate effectively to both internal and external constituents. The position will allow the candidate to work collaboratively across the Company’s cross-functional teams and to learn from the firm’s industry leading professionals. The ideal candidate will be intellectually curious, a self-starter, have a strong attention to detail, and be able to work under time sensitive deadlines. Excellent written and verbal communication skills are required.

ESSENTIAL DUTIES:

  • Navigate and execute the firm’s proprietary cash collection engine;

  • Lead recurring monthly servicing calls reviewing reporting exceptions and data issues;

  • Build strong relationships with vendors, data providers, and internal and external stakeholders;

  • Manage monthly reporting activities including remittances and account reconciliations in accordance with servicing agreements;

  • Maintain and follow controls within the monthly process;

  • Efficiently manage all tasks and take ownership of all assigned vendors and providers, including following up with third-party entities resulting in timely reconciliations;

  • Produce monthly cash flow reporting for internal and external stakeholders;

  • Critical analysis in managing monthly controls to ensure accuracy;

  • Ensure the accurate compilation, analysis, and reporting of data;

  • Running analyses using in-house software tools; and

  • Any ad hoc analysis that may be requested.

 

EXPERIENCE, QUALIFICATIONS, AND SKILLS:

  • Education: Bachelor's degree from a top undergraduate program.

  • Experience: 0-15 years of experience with data reconciliation, loan servicing, or asset management.

  • Excellent organizational skills with strong attention to detail.

  • Strong knowledge of Excel.

  • Interest in learning SQL.

  • Some experience using BI tools and building dynamic reporting dashboards (Tableau, PowerBI, etc.)

  • Exceptional verbal, written, and interpersonal communication skills with the ability to apply common sense to carry out instructions and instruct others, train personnel, write reports, correspondence, and procedures, and speak clearly to customers and employees.

  • Ability to multi-task and handle multiple competing deliverables.

 

BENEFITS:

  • 4 weeks of PTO

  • Medical, dental, and vision insurance

  • 401(k) retirement plan matching

  • Charitable giving employee matching program

  • Continuing education and professional certification expense reimbursement

  • 13 paid holidays

We are committed to maintaining a positive and collaborative work environment that is safe and respectful of others; our shared success depends on it. Accordingly, we do not tolerate workplace discrimination, violence, or harassment.

We are proud to create a diverse environment and are proud to be an equal opportunity employer.

  • www.palisades.us.com

  • www.chimerareit.com

Top Skills

Excel
Power BI
SQL
Tableau
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The Company
HQ: New York, New York
67 Employees

What We Do

Chimera is a publicly traded real estate investment trust, or REIT, that is primarily engaged in the business of investing for itself and for unrelated third parties through its investment management and advisory services in a diversified portfolio of real estate assets, including residential mortgage loans, Non-Agency RMBS, Agency RMBS, business purpose and investor loans, including RTLs, and other real estate-related assets such as Agency CMBS.

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