George Mancheril

George has over 14 years of experience in the financial industry with a specific focus on asset based lending, off balance sheet financing of commercial assets, and structured credit. After graduating from NYU’s Stern School of Business in 2008 with majors in Finance and Statistics, George joined Goldman Sachs as an US Interest Rates Trader where he managed his own $2bn book of risk. From 2013 to 2018, he worked at Guggenheim Partners Investment Management’s Structured Credit Group in Los Angeles where he focused on structuring esoteric asset financing for a variety of commercial assets including airplanes, container leases, and receivables. His primary responsibilities centered around underwriting credit risk, negotiating deal structures with issuers, portfolio management of 3 debt funds totaling $1bn AUM, and credit risk management.