Investor Reporting Analyst

KeyBank

Overland Park (KS)

Hybrid

USD 63,000 - 96,000

Full time

14 days+
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Job summary

KeyBank is seeking an Investor Accounting Analyst III in Overland Park, KS. You will handle complex calculations and reporting for PSAs, SSAs, ISAs, and CMBS deals under supervision.

Responsibilities include configuring investor data in Strategy/RECWEB, resolving exceptions, and collaborating with rating agencies, trustees, and investors. A background in finance or accounting and 1+ year of related experience are preferred.

Qualifications

  • Bachelor's Degree in Finance or Accounting (preferred) or equivalent experience.
  • 1+ year of investor reporting or related experience in loan servicing or CRE reporting (preferred).
  • Experience interpreting complex servicing agreements and handling analytics.

Responsibilities

  • Prepare and validate investor reports and remittances per servicing agreements.
  • Interpret PSAs, SSAs, ISAs, and third-party contracts to determine reporting requirements.
  • Configure investor and trustee data in Strategy and RECWEB systems.
  • Analyze Realized Losses, ARAs, and ASERS for portfolios.
  • Support risk identification and escalation with management.

Skills

Investor reporting
PSA/SSA/ISA knowledge
Excel advanced
Financial analysis
Risk identification
Mentoring peers

Education

Bachelor's degree in Finance or Accounting
Equivalent experience

Tools

Strategy Investor Setup
RECWEB

Job description

Location:

11501 Outlook Street, Overland Park Kansas
Job Summary

Under the supervision of the department manager, the Investor Accounting Analyst III is responsible for accurate and timely reporting and remitting as dictated by the related servicing agreements for assigned contracts. In addition to standard Investor Analyst responsibilities, this role handles more complex and potentially labor-intensive manual calculations for deals such as Participation, Third-Party, and CMBS contracts.

Essential Functions
  • Perform all functions of an Investor Analyst II
  • Interpret Pooling and Servicing Agreements (PSA), Sub-Servicing Agreements (SSA), Interim Servicing Agreements (ISA), Participation Agreements, and other complex third-party agreements to determine portfolio reporting and remittance requirements and respond to investor inquiries
  • Review, communicate, and set up new contracts in core systems including Strategy Investor Setup, Collection Account Setup, RECWEB Investor Summary/Calendar Setup, and Trustee File Setup
  • Resolve servicing fee and other validation exceptions
  • Monitor calculation and reporting of Realized Losses, Appraisal Reduction Amounts (ARA), and Appraisal Subordinate Entitlement Reductions (ASERS)
  • Provide advice, oversight, and assistance to management in identifying, managing, and escalating risk issues
  • Communicate with Rating Agencies, Trustees, and Investors, ensuring confidentiality documents are current and on file
  • Exceed performance goals and consistently push self and others for results
  • Assist in the development and training of new employees
  • Support peers with reconcilement issues and questions
  • Participate in special projects, including testing phases of system upgrades and enhancements
  • Contribute to team development and team building initiatives
  • Performs other duties as assigned; duties, responsibilities and/or activities may change or new ones may be assigned at any time with or without notice
  • Complies with all KeyBank policies and procedures, including without limitation, acting professionally at all times, conducting business ethically, avoiding conflicts of interest, and acting in the best interests of Key's clients and Key
Education
  • Bachelor's Degree in Finance or Accounting (preferred)
  • OR equivalent experience (required)
Work Experience
  • 1+ years of investor reporting or related experience within the industry, with emphasis in loan servicing or commercial real estate reporting (preferred)
Skills
  • Preparation and validation of complex investor reports and remittances per servicing agreements
  • Analysis of PSAs, SSAs, ISAs, and third-party contracts to determine reporting requirements
  • Configuration of investor and trustee data in systems like Strategy and RECWEB
  • Execution of labor-intensive calculations for specialized contracts such as CMBS and Participation deals
  • Resolution of exceptions and discrepancies in servicing fee calculations
  • Monitoring and reporting of Realized Losses, ARAs, and ASERS for investor portfolios
  • Identification and escalation of risk issues to ensure compliance and operational integrity
  • Professional interaction with rating agencies, trustees, investors, and internal teams
  • Use of advanced Excel functions for ad‑hoc reporting and financial analysis
  • Mentoring peers and assisting with reconcilement and procedural questions
  • Onboarding and development of new employees through knowledge sharing
  • Participation in testing phases of system upgrades and enhancements
  • Recommendation and implementation of changes to investor reporting procedures
  • Ability to manage multiple tasks and deadlines with precision and efficiency
  • Commitment to delivering high‑quality service and maintaining confidentiality
Core Competencies
  • All KeyBank employees are expected to demonstrate Key's Values and abide by Key's Code of Conduct.
Physical Demands
  • General Office - Prolonged sitting, ability to communicate face to face in person or on the phone with teammates and clients, frequent use of PC/laptop, occasional lifting/pushing/pulling of backpacks, computer bags up to 10 lbs.
Travel
  • Occasional travel to include overnight stay.
Work Location Category
  • Hybrid (2+ days)
Compensation and Benefits

This position is eligible to earn a base salary in the range of $63,000.00 - $96,000.00 annually. Placement within the pay range may differ based upon various factors, including but not limited to skills, experience and geographic location. Compensation for this role also includes eligibility for incentive compensation which may include production, commission, and/or discretionary incentives.

Please click for a list of benefits for which this position is eligible.

Key has implemented an approach to employee workspaces which prioritizes in‑office presence, while providing flexible options in circumstances where roles can be performed effectively in a mobile environment.

Job Posting Expiration Date: 10/08/2026

Equal Opportunity Employer

KeyCorp is an Equal Opportunity Employer committed to sustaining an inclusive culture. All qualified applicants will receive consideration for employment without regard to race, color, religion, sex, sexual orientation, gender identity, national origin, age, genetic information, pregnancy, disability, veteran status or any other characteristic protected by law.

Qualified individuals with disabilities or disabled veterans who are unable or limited in their ability to apply on this site may request reasonable accommodations by emailing HR_Compliance@keybank.com.

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