The Role:
The Collateral Analyst will support the banks commercial real estate (CRE) lending platform with a primary focus on multifamily properties. This role is responsible for analyzing collateral performance building analytical reports and financial models and delivering actionable commercial real estate market insights to senior management. The ideal candidate has strong analytical skills deep familiarity with CRE data sources and the ability to translate complex datainto clear decision-ready insights.
What Youll Do:
Analyze and monitor collateral supporting commercial real estate loans with an emphasis on multifamily assets
Build and maintain recurring and ad-hoc reports for senior management credit committees and portfolio oversight
Develop financial and valuation-related models to assess collateral performance trends and risk exposure
Aggregate clean and analyze CRE data from internal systems and third-party sources
Produce market insights on multifamily and broader CRE trends includingsupply/demand rent growth cap rates and geographic performance
Utilize CoStar to research market data comparable properties and regional trends
Leverage Airtable to organize datasets track collateral metrics and support reporting workflows
Partner with credit underwriting and portfolio management teams to support risk assessment and strategic decision-making
Assist with stress testing portfolio reviews and special projects as needed
What Youll Need:
Bachelors degree in Finance Real Estate Economics Business or a related field (Masters preferred but not required)
Minimum of 5 years of experience in commercial real estate analysis collateral analysis credit or portfolio management
Strong experience with multifamily real estate analysis
Proficiency with CoStar for market research and property analysis
Hands-on experience using Airtable for data management and reporting
Advanced Excel skills; experience with financial modeling required
Strong written and verbal communication skills with the ability to present insights to senior management
Preferred Skills:
Experience working in a bank or regulated financial institution
Familiarity with loan portfolio monitoring and collateral risk metrics
Ability to automate or streamline reporting processes
Strong attention to detail and ability to manage multiple priorities
What We Offer:
Competitive compensation and benefits
Exposure to senior leadership and strategic decision-making
Collaborative team environment with a focus on data-driven insights
Opportunities for professional growth within commercial banking and real estate finance
Required Experience:
IC
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