• 50/55k
  • London, England, United Kingdom London England GB
  • Permanent, Full time
  • RJF Global Search
  • 17 Mar 18 2018-03-17

Our client, Fintech, alternative lender are seeking a motivated individual with a finance background in either Treasury, Funding, Asset /Liability, Market Risk, and Securitisation. You will assist in devising and building the strategy and structure of Capital Markets/ Treasury transactions, Management of group liquidity position and cash management.



Play a key and active role throughout the full life cycle of executing and managing funding transactions.

Assist in devising and building the strategy and structure of specific Capital Markets/Treasury transactions while ensuring alignment of business processes. 

Support the execution of trades, including but not limited to the negotiation of legal contracts, answering prospective investor queries and project managing all internal processes and stakeholders

Management of group liquidity position and 3rd party facilities, including investor reporting and debt drawings

Managing communications with existing investors

Portfolio/Asset Management, including monitoring of loan portfolio performance, ensuring data integrity and asset allocation

Work closely with the CFO, Head of MI and Head of Risk as well as with external advisors and vendors

Support business by providing analytical, capital markets and treasury insights

You must have:

A minimum of 3 years experience in a similar role within Treasury/Fixed Income. 

Comfortable reviewing legal documents and analysing financial models

Excellent written and verbal communication skills with very strong attention to detail

Confident, presentable and able to interact directly and autonomously with a wide variety of investors and stakeholders

Ambitious, dedicated and excited working with highly motivated and smart individuals in an entrepreneurial environment

Data analysis skills and experience with cash flow modelling and SQL skills.

Ref: 53671