Investment Associate

Arena Investors, LP

Arena Investors, LP

Accounting & Finance
United States
Posted on Monday, May 22, 2023


Mercatus Finance (“Mercatus”) is a new platform launched by Arena Investors to provide cash flow-based senior secured loans to middle-market borrowers in special situations, typically those dealing with process risks (e.g., timing constraint, out-of-favor industry, multiple collateral types, etc). Mercatus’ competitive advantage will be a deep underwriting of what others find too difficult or time consuming to understand. Mercatus will be industry agnostic (except energy and real-estate) and focus on the United States and Canada. Mercatus will achieve superior risk-adjusted returns by exploiting illiquidity; borrowers are expected to be non- or lightly-sponsored and investment opportunities will tend to be non-competitive. Based on Arena’s expectation of the immediately investable universe of opportunities, Mercatus will initially target $500M - $1B of AUM. AUM expectations will evolve with market conditions.

Arena Investors, LP (“Arena”) is a $3.6 billion global alternative asset management firm with offices in New York, London, San Francisco, Singapore, Dublin, and Jacksonville. Arena brings decades of experience, a track record of comfort with complexity, the ability to deliver within time constraints and the flexibility to engage in transactions that cannot be addressed by banks and other conventional financial institutions. Arena strives to provide capital to entities in special situations, serving as an originator and underwriter of loans across multiple asset classes including corporate, real estate, structured finance, asset-based lending, and more. At the heart of Arena’s investment process is a proprietary approach to sourcing bespoke opportunities outside traditional sourcing channels. Every investment is designed to generate idiosyncratic returns independent of the macroeconomic cycle and aims to minimize risk.


Mercatus Finance is seeking an Associate to join its team. This candidate will have 2-3 years of credit experience, either on the buyside or sellside (preferably in leveraged finance). This person must have excellent modelling skills and thorough understanding of financial statement analysis.