Hiring.Camp

Senior Manager, Alternative Investment Lending Analyst

Career Schwab

·

Mar 18, 2026

Location
Southlake, TX, US · Orlando, FL, US · Omaha, NE, US
Workplace
Hybrid, Onsite
Type
Full-time
Department
Legal
Seniority
Senior
Experience
5+ years
Visa
Not sponsored
Closing date
Mar 28, 2026
Source
iCIMS

Description

Your Opportunity

At Schwab, you’re empowered to make an impact on your career. Here, innovative thought meets creative problem solving, helping us “challenge the status quo” and transform the finance industry together. Please note: This position is M-F during standard business hours with a hybrid work model (4 days in-office, 1 day working from home). It is only available in the areas listed. Candidate must reside or be willing to relocate on their own to one of the listed areas. Applicants must be currently authorized to work in the United States on a full-time basis without employer sponsorship.

 

This role offers a unique opportunity to work at the intersection of alternative investments, credit risk, and high‑net‑worth lending, supporting the growth of innovative lending solutions.

 

We are seeking an Alternative Investment Lending Analyst to support the underwriting, collateral review, and ongoing risk assessment of loans secured by non‑traditional and illiquid assets. This role will focus on evaluating alternative investment collateral—including private company stock, alternative investment funds, and structured notes—and supporting credit decisions for high‑net‑worth borrowers.

 

The analyst will work closely with credit, risk, legal, and product partners to assess collateral eligibility, inform advance rates, and support the development of scalable underwriting and monitoring frameworks for alternative asset‑backed lending programs

 

What you will do: 

Analyze and assess alternative investment collateral, including:

  • Private equity, private credit, real estate, and other alternative investment funds
  • Structured notes and other complex structured products
  • Private, restricted, or closely‑held stock

Review offering documents (e.g., PPMs, subscription agreements, indentures) to evaluate:

  • Asset structure, liquidity, leverage, and valuation methodology
  • Transfer restrictions, pledgeability, and control considerations
  • Sponsor quality and governance features
  • Provide written credit analysis on alternative investment collateral

Support underwriting of high‑net‑worth borrowers, including analysis of:

  • Borrower liquidity, net worth, and repayment capacity
  • Concentration risk and portfolio diversification

Assist in determining appropriate advance rates and risk mitigants based on:

  • Asset volatility and liquidity
  • Borrower strength and overall collateral mix

Support post‑origination monitoring of alternative collateral, including:

  • Periodic valuation reviews
  • Sponsor or structure changes
  • Concentration and exposure tracking

What you have

Required Qualifications:

   5+ years of experience in one or more of the following:

  • Alternative investment analysis (PE, private credit, real assets, hedge funds)
  • Credit underwriting or risk management
  • Wealth management, private banking, or HNW lending

Hands‑on experience reviewing alternative investment structures and documentation

Familiarity with lending to high‑net‑worth borrowers and assessing borrower financial strength

Strong understanding of:

  • Alternative asset liquidity, valuation, and risk characteristics
  • Credit fundamentals and underwriting principles

Ability to synthesize complex legal and financial documents into clear risk assessments

Strong written and verbal communication skills, particularly for credit memos and stakeholder discussions

Detail‑oriented with sound judgment in evaluating non‑standard risks

Exposure to collateralized lending or asset‑backed credit

 

 

Preferred Qualifications:

CFA designation or progress toward CFA (a plus, not required)

Skills

UnderwritingRisk ManagementCFA

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