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Xapo61
Xapo61

Investment Manager (Remote - Work from Anywhere)

financefull-timeGibraltar - Remote
SALARY
Not listed
WORK TYPE
remote
JOB TYPE
full-time
INDUSTRY
crypto
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About the role

Position overview

You’ll work alongside the Head of Investments to source, assess, structure, and monitor BTC lending opportunities. You will be involved in structuring investment solutions and assisting with day to day operations in the investment team. Expect a fast, analytical, and highly collaborative environment with significant exposure to external counterparties.

Responsibilities

  • Counterparty due diligence: gather data, analyze financials, evaluate risk controls, and draft clear approval memos.
  • Structuring: help design secured/over-collateralized lending structures, covenants, waterfalls, and margin frameworks.
  • Portfolio & risk monitoring: track exposures, limits, collateral, and early-warning indicators; recommend actions.
  • Modeling: General structured solutions monitoring, ability to work with modern tooling is a plus.
  • Counterparty engagement: schedule/lead parts of meetings, coordinate data rooms, follow through on action items.
  • Investment docs & legals: Contribute to term sheets, IC decks, and performance updates; provide input to loan documentation and interrogate legal terms (security, covenants, remedies, margining) to align risk–reward and ensure protections.
  • Creativity & research: propose new structures, pricing ideas, and opportunity maximization within risk appetite.
  • Process hygiene: keep our diligence files, checklists, and dashboards clean, current, and auditable.

Skills needed

  • 5–7 years in investment banking / structured lending / credit / treasury / risk / buy-side. Direct structured credit or margin/repo/collateralized lending exposure is strongly preferred.
  • Bachelor's degree.
  • Credit judgment: Demonstrated end-to-end counterparty due diligence (financials, liquidity, leverage, concentration, collateral analysis, covenants, early-warning indicators).
  • Structuring literacy: Familiar with term sheets, security/collateral packages, covenants, margining, and basics of ISDA/CSA, GMRA/GMSLA, or loan agreements; able to translate risk appetite into structure, triggers, and reporting.
  • Risk tooling: Practical use of stress/scenario analysis, sensitivities, and simple VaR/limit frameworks for decision support (no need to be a quant, but you know the levers and caveats).
  • Modeling: Experience with modern tooling and ai to get the most out of modeling scenarios.
  • Documentation & communication: Crisp IC memos, red-lined edits, and concise counterparty comms; able to own meeting notes and action logs without supervision.
  • Process hygiene: Diligence checklists, data rooms, trackers, and audit-ready foldering; low error rate and fast iteration.
  • External presence: Comfortable running parts of counterparty meetings, chasing deliverables, and negotiating factual points with professionalism.
  • Certifications: CFA or FRM, or equivalent professional path in progress.
  • Mindset: High-ownership, low-ego, reliable under time pressure; creative about finding solutions.
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Investment Manager (Remote - Work from Anywhere) at Xapo61 — Remote