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Senior Associate, Junior Capital / Private Credit
Somerville, MAApril 4th, 2026
Senior Associate, Junior Capital / Private CreditBoston, MA | Full-TimeApplication ProcessPlease share your resume with to be considered. Applications through LinkedIn Apply will not be considered.About Falcon Investment AdvisorsFalcon Investment Advisors is a leading alternative credit manager specializing in mezzanine and junior capital investments in U.S. middle market companies. Founded in 2000 and headquartered in Boston with an office in New York, the firm has deployed over $5.6 billion across 137 investments through seven private credit funds and currently manages approximately $3.5 billion in assets under management.Falcon partners with private equity sponsors, founders and management teams to provide flexible capital solutions—including subordinated debt, holdco debt, preferred equity, and equity co-investments—in support of leveraged buyouts, recapitalizations, acquisitions, and growth financings. The firm invests across a broad range of sectors including business services, healthcare, technology, food & beverage, education, and industrial technology.The OpportunityFalcon Investment Advisors is seeking a Senior Associate to join the Investment team in its Boston office. This is a high-impact, hands-on role in which the Senior Associate will contribute meaningfully across all phases of the investment lifecycle—from origination and underwriting through due diligence, execution, and ongoing portfolio management. The Senior Associate will work directly alongside Partners and Managing Directors and will carry meaningful deal responsibility from day one.This is an excellent opportunity for a motivated credit professional to develop deep underwriting expertise, broaden their sponsor and banking relationships, and grow within a high-performing, collaborative team at one of the most established mezzanine franchises in the middle market.Key ResponsibilitiesDeal Evaluation & ExecutionEvaluate new investment opportunities across the capital structure, with a primary focus on mezzanine debt, subordinated debt, preferred equity, and equity co-investments in U.S. middle market companiesBuild and maintain detailed financial models, including LBO analyses, credit and cash flow models, covenant and return analyses, and downside sensitivity scenariosConduct comprehensive business due diligence, including assessment of competitive dynamics, industry positioning, management quality, customer and revenue concentration, and financial performanceDraft investment memoranda and present investment recommendations to the Investment CommitteeLead transaction execution, including term sheet negotiation, legal documentation review, and coordination with legal counsel, management teams, and private equity sponsorsManage relationships with co-investors, lenders, and other counterparties through deal closePortfolio ManagementMonitor portfolio company financial performance, covenant compliance, and key business developments on an ongoing basisPrepare quarterly portfolio company reports and performance updates for internal stakeholders and limited partnersParticipate in board calls, management meetings, and annual reviews as appropriateIdentify risks and work proactively with senior professionals and management teams to address portfolio company issuesQualificationsApproximately 4 years of total relevant professional experience, including 2+ years of buyside credit or mezzanine investing experience; prior investment banking (leveraged finance, M&A, or restructuring) experience strongly preferredStrong financial modeling and analytical skills, with demonstrated expertise in credit analysis, LBO modeling, and deal structuring across the capital structureSolid understanding of leveraged finance markets, credit documentation, and capital structures, including subordinated debt and mezzanine instrumentsAbility to manage multiple live transactions simultaneously and perform effectively in a fast-paced, deadline-driven environmentExceptional written and verbal communication skills; ability to synthesize complex information into clear and concise investment theses and written memorandaHigh level of intellectual curiosity, sound judgment, and strong attention to detailSelf-starter mentality with the ability to take ownership of work product and contribute proactively within a small, collaborative teamBachelor's degree requiredCompensation & BenefitsFalcon Investment Advisors offers a highly competitive compensation package commensurate with experience, including:Competitive base salary and performance-based bonusPotential for carried interest participation for strong performersComprehensive benefits packageGenerous paid time off and firm-wide holidaysFalcon Investment Advisors is an equal opportunity employer. Qualified applicants will receive consideration without regard to race, color, religion, sex, national origin, age, disability, or any other legally protected status.
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