MF Risk - Asset Management - Senior Associate

Fannie MaeWashington, DC
$96,000 - $124,000Hybrid

About The Position

As a valued colleague on our Multifamily Risk team, you will contribute to the administration, strategic planning, and operational management of an assigned multifamily asset portfolio. In this role, you will monitor portfolio performance, analyze risk and operational trends, and report on the end-to-end execution of business processes using enterprise systems. Working collaboratively with cross-functional partners, you will support portfolio objectives, evaluate asset performance, and help ensure compliance with governance standards, policies, and internal controls.

Requirements

  • 2+ years of experience in commercial real estate, multifamily lending, asset management, portfolio management, financial analysis, risk management, loan servicing, or a related financial services environment.
  • Demonstrated curiosity and adaptability in learning and responsibly applying emerging technologies, including artificial intelligence, to improve business processes and analytical capabilities.
  • Bachelor’s degree or equivalent experience.
  • Experience supporting multifamily or commercial real estate portfolios.
  • Knowledge of multifamily lending, commercial real estate finance, portfolio management, or asset management principles, particularly as related to distressed assets or REO.
  • Experience analyzing financial, operational, and portfolio performance data.
  • Familiarity with governance, risk management, and internal control frameworks.
  • Experience using enterprise systems, reporting tools, and Microsoft Excel to analyze data and prepare reports.
  • Strong analytical, organizational, and problem-solving skills.
  • Excellent written and verbal communication skills with the ability to collaborate effectively across teams.

Responsibilities

  • Support the execution of portfolio strategies and strategic objectives for an assigned multifamily asset portfolio.
  • Monitor portfolio performance and analyze financial, operational, and risk-related data to identify trends and support informed business decisions.
  • Evaluate the performance and risk profile of current assets and recommend actions to address identified issues or opportunities.
  • Prepare reports, dashboards, and analyses that communicate portfolio performance, risk metrics, and operational results to key stakeholders.
  • Monitor the execution of business processes using enterprise systems to ensure accurate tracking, reporting, and operational effectiveness.
  • Collaborate with Asset Management, Risk, Servicing, Underwriting, Legal, and Operations partners to resolve portfolio issues and support business initiatives.
  • Ensure portfolio activities comply with governance standards, internal controls, policies, and regulatory requirements.
  • Identify opportunities to improve business processes, reporting capabilities, and operational efficiencies.
  • Support strategic initiatives, special projects, and continuous improvement efforts that enhance portfolio performance and risk management.
  • Maintain accurate portfolio documentation and support audit, compliance, and governance activities as needed.

Benefits

  • Health, Life, Voluntary Lifestyle, and other benefits and perks that enhance an employee's physical, mental, emotional, and financial well-being.
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