Senior Manager Capital Markets & Treasury
Posted on 1/26/2024
Flex
Locations
New York, NY, USA
Experience Level
Entry
Junior
Mid
Senior
Expert
Desired Skills
Sales
Marketing
CategoriesNew
Sales & Account Management
Finance & Banking
Requirements
  • 3+ years of relevant industry experience at an investment bank, hedge fund, or asset manager focused on warehouses, securitizations, or other ABS strategies
  • Alternatively, experience at a consumer or marketplace lending company in a treasury, capital markets or debt funding role
  • Wide understanding of treasury operations, capital markets, funding strategies and/or other ways to raise debt capital
  • BA/BS degree in a quantitative discipline or equivalent work experience; MBA or CFA is a plus
Responsibilities
  • Work on a small team as an integral part of capital markets strategy decision-making
  • Manage the company’s cash operations including the processing of borrower collections and the purchase and sale of receivables. Create and maintain reconciliations of funds movements
  • Operationalize credit facility fund flows and reporting to occur accurately & timely
  • Analyze and interpret the impact of various equity & debt funding strategies while working in the context of broader corporate goals
  • Participate in legal negotiation/documentation with funding counterparties alongside counsel
  • Partner cross-functionally with our Product, Sales and Marketing, Servicing and Risk teams to drive strategy and optimize tactics as it relates to capital markets
Desired Qualifications
  • MBA or CFA