About The Position

Morgan Stanley FID Secured Lending (“FSL”) is seeking a Vice President to join its Corporate Credit Financing Portfolio Management team as the US lead based in New York. FSL sits within Morgan Stanley’s Fixed Income Division and provides financing facilities to asset originators, aggregators and financial sponsors. FSL currently manages a portfolio backed by a diverse range of assets including private credit / corporate loans, fund capital commitments, consumer loans, residential and commercial mortgages, and infrastructure loans across the US, Europe, and APAC regions. The FSL Portfolio Management team is responsible for the active risk management of the business, spanning transaction evaluation, portfolio construction, and ongoing portfolio strategy. The team plays a critical role in informing senior management’s risk‑taking decisions, guiding business expansion, and managing the portfolio through periods of market volatility. The role involves extensive engagement with senior leadership and key stakeholders, including Credit Risk, regulators, borrowers, and co‑lenders. The Vice President will be responsible for leading day‑to‑day portfolio management and risk oversight for the US corporate credit financing portfolio, consisting of facilities backed by broadly syndicated and private credit first lien, unitranche, recurring revenue and other corporate loans across multiple industries and jurisdictions, and will partner closely with global portfolio management leadership.

Requirements

  • Previous experience with corporate credit or structured products (ABS, RMBS, CMBS, CLOs) is required, background in private credit is a plus
  • 6+ years of experience at Banks, Buy Side Firms or Rating Agencies
  • Excellent analytical and data management skills (Excel, modeling, database management, etc.)
  • Strong communication, planning, and organizational skills
  • Experience reading and understanding loan documents
  • Strong understanding of financial statements and financial accounting
  • Degree from competitive undergraduate / graduate program

Nice To Haves

  • background in private credit is a plus

Responsibilities

  • Evaluating new transactions and facility amendments and assessing asset quality, structure, documentation and counterparty risk
  • Creating risk analytics, stress testing and reporting frameworks to enhance decision-making
  • Performing market intelligence, asset‑level research, and forward‑looking risk analysis
  • Performing periodic business reviews and providing reporting to FSL senior leadership as well as business partners in Credit Risk and Capital Markets
  • Enhancing automation and scalability of portfolio monitoring processes
  • Managing and mentoring junior asset managers, including review of work product, coaching, and performance feedback
  • Fostering a culture of accountability, ownership, and collaboration

Benefits

  • Comprehensive employee benefits and perks
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